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Global Portfolio Analysis and Reporting Director

Morgan Stanley

New York, New York, United States of AmericaStaffH-1B sponsor company
Sign in to applyVerified 3h ago
Location
New York, New York, United States of America
Work model
On-Site
Level
Staff
H-1B history
39 approvals (FY2023)
Posted
Sep 18, 2026

About this role

DEPARTMENT OVERVIEW The Global Portfolio Analysis and Reporting (GPAR) team at MSIM is responsible for delivering performance, attribution, and portfolio analytics to internal and external stakeholders globally. Activities covered by the team include portfolio return attribution, ex-post risk analytics, portfolio characteristics, and competitive analysis. The team supports investment decision-making, client reporting, marketing, and senior management through robust analytics and insight across asset classes. As MSIM continues to grow in scale and complexity, GPAR plays a critical role in delivering deeper performance and attribution insight, enhancing the analytical tools and reporting that support investment decisions, driving automation and AI-enabled efficiencies, and acting as a trusted partner to investment teams and senior leadership.

ROLE

OVERVIEW GPAR is seeking a highly motivated Associate / Senior Associate to perform performance, attribution, and ex-post risk analytics, with a focus on Equity and Fixed Income portfolios. You will work closely with investment teams, the risk team, sales & marketing, and senior management to provide both standard and bespoke performance analyses. You will develop expertise in performance and ex-post risk analytics, attribution theory, and the decomposition of returns, while partnering with investment teams, product specialists, risk, compliance, technology, operations, and external vendors. You will take ownership of day-to-day deliverables, data integrity, and process improvements, and escalating material issues to GPAR management as appropriate. This role combines analytical rigor and problem-solving with the ability to remain hands-on across complex analyses, attribution reviews, and other high-impact deliverables.

KEY RESPONSIBILITIES

Performance & Attribution Analytics > Generate standard and bespoke performance attribution and contribution analyses for Equity and Fixed Income strategies. > Monitor and highlight key performance drivers to senior management. > Produce ex-post risk analytics, portfolio characteristics, and competitive analyses across asset classes. > Write interpretive commentary on the reports produced, and design new reports that inform decision-making at MSIM. Data Integrity, Process & Governance > Play an active role in ensuring and improving data integrity and quality. > Design and enhance analytical tools to enable efficient reporting and access to data. > Contribute to integration efforts to consolidate and harmonize attribution reporting across MSIM businesses. > Collaborate with the Technology team to re-engineer processes and improve the effectiveness of existing reporting. Stakeholder Partnership & Communication > Partner with investment team members, product specialists, client service administrators, and other investment professionals on analyses relating to investment performance and the decomposition of returns. > Present reports and interpretations to senior management in a clear and impactful manner. > Support relationships with external vendors, helping to ensure service quality and alignment with MSIM standards. > Champion continuous improvement across process design, data quality, and reporting. EXPERIENCE & SKILLS REQUIREMENTS > 2-5 years of relevant experience in asset management performance, risk analytics, or portfolio analysis. > Sound understanding of attribution theory, performance calculation standards, and ex-post risk analytics. > Ability to interpret the performance impact of various transactions and corporate actions, including knowledge of alternative return calculations. > Thorough knowledge of a wide range of financial instruments and investment strategies, including equities, fixed income, derivatives, multi-asset, and alternatives (mutual funds, hedge funds, private equity). > Excellent written and verbal communication skills, with the ability to explain complex technical matters clearly. > Strong problem-solving skills,

Listing verified 3h ago. Applications go through the company's official careers site.

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Global Portfolio Analysis and Reporting Director at Morgan Stanley, New York, New York, United States of America | Yoinka