The Investment Analyst works as a member of a seven-person investment team managing Tulane University's $2.4 billion Endowment. This role involves a three-year rotation across various investment asset classes, including public and private equity, venture capital, and hedge funds. Responsibilities include conducting detailed research and analysis on global financial markets and specific investment managers, both existing and prospective. The Investment Analyst supports comprehensive investment due diligence, such as manager sourcing, meetings, financial and risk analysis, and developing investment recommendations. This position offers an opportunity to impact the university, develop specialized investment expertise, and gain broad exposure to various asset classes within an intellectually stimulating and collaborative environment. The role is based in the New York City area, with some travel required. Required Knowledge, Skills, and Abilities A passion for financial markets and investing Strong quantitative skills and attention to detail Excellent oral and written communication skills, with the ability to interact effectively with individuals from diverse backgrounds Ability to meet deadlines, prioritize work, and work independently Proficiency with Microsoft Office, especially Excel Ability to produce error-free work and adhere to control checks Required Education and Experience Bachelor’s Degree in a quantitative or investment-related field Preferred Qualifications Investment experience Additional Information This position is classified as "exempt, salaried" and assigned to pay grade UNCLASSIFI. The role may involve adhering to COVID-19 requirements, such as vaccinations and booster shots. Tulane University is an equal opportunity employer committed to diversity and inclusion. Applications will be accepted until the position is filled. For assistance during the application process, contact the Office of Human Resources at 504-865-4748 or hr@tulane.edu. #J-18808-Ljbffr Tulane University
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