OCIO Client Analytics & Portfolio Operations, Assistant Manager
State Street
- Location
- Bangalore
- Employment
- Full Time
- Work model
- On-Site
- Level
- Senior
- Posted
- Aug 14, 2026
About this role
Position
Summary The Assistant Manager supports institutional OCIO mandates by delivering high-quality client reporting, portfolio analytics, cash and liquidity coordination, investment operations support, data validation, audit support and RFP-related data support. The role partners with Investment Strategists, Portfolio Managers, Client Executives, Risk, Performance, Accounting, Custody, Operations and external stakeholders to deliver accurate, timely and client-ready outputs while maintaining strong controls and documentation.
Key Responsibilities
Prepare and review monthly, quarterly and ad hoc client reporting covering asset allocation, investment performance, attribution, statement of assets/change, market value movements, funded status and related portfolio metrics. Validate performance, benchmark-relative results, attribution outputs, asset allocation data and commentary inputs from respective teams before materials are shared with internal or external stakeholders. Support preparation of quarterly investment review decks, client panels, internal investment panels and other portfolio review materials. Familiarity with liability-driven investing, funded status reporting, hedge ratio analytics, alternatives reporting. Monitor portfolio cash balances, upcoming liquidity needs, withdrawals, contributions, capital calls and distributions where applicable/client account demands. Coordinate with Portfolio Managers, Operations and internal teams to identify funding gaps and support timely execution of client obligations. Assist with investment implementation items such as benchmark changes, strategic asset allocation updates, manager transitions and reporting setup changes. Perform data validation and reconciliation across source systems and reporting platforms, including market value, holdings, unit price, cost, NAV, cash, transactions and performance data. Investigate reporting breaks, data discrepancies, benchmark issues, attribution questions and operational exceptions, coordinating resolution with relevant teams. Maintain clear documentation, control evidence, trackers and SOPs to support repeatable, audit-friendly delivery. Validate Investment Management, custody and other client invoices in coordination with relevant stakeholders. Attend client calls or meetings, where required, to understand client requirements, deliverables and follow-up items. Support client audit requests by coordinating investment holdings, transaction activity, income, valuation evidence, SOC/bridge letters, ERISA/FAS materials and other required support documents. Liaise with internal and external stakeholders including custodians, administrators, auditors, managers and consultants to obtain or validate requested information. Assist with client inquiries and ad hoc requests while maintaining appropriate escalation, confidentiality and information classification standards. Maintain and support OCIO client, AUM, holdings and portfolio data used for RFPs, ISG presentations and prospect-related requests. Drive process improvements, reporting enhancements, automation opportunities and reusable templates to improve efficiency, quality and control strength. Create and maintain SOPs, knowledge repositories, trackers and working files used by the OCIO team. Guide junior team members through day-to-day deliverables, review practices, escalation protocols and stakeholder communication expectations.
Required Qualifications
Bachelor degree in Finance, Accounting, , Business, Commerce or a related discipline. 6+ years of relevant experience in investment operations, OCIO support, performance analytics, portfolio administration, client reporting, asset management or institutional investment services. Strong working knowledge of institutional portfolios across equity, fixed income, alternatives and cash/liquidity workflows. Experience with performance validation, attribution review, NAV or market value validation, account reporting, audit support or