Investment Reporting Analyst
Investment Reporting AnalystThe Horizon Group is searching for an Investment Reporting Analyst for one of our clients located in NYC. Our client is a rapidly growing organization that owns and operates multiple insurance companies and ancillary insurance businesses. The AUM currently stands at approximately $9 billion. Portfolio investments include traditional fixed income instruments as well as less liquid and alternative assets, including private and collateralized credit, real estate, and private equity transactions.Job DescriptionThe Investment Reporting Analyst reports directly to the Managing Director of Investment Operations and partners closely with portfolio managers, as well as the operations and accounting teams, to monitor the performance of a diverse portfolio of complex investments and deliver both routine and ad hoc reporting.The ideal candidate has strong quantitative skills, with a focus on accuracy and process improvement. This role requires adaptability, attention to detail, and the ability to work independently, and take ownership in a fast-paced environment. We are seeking a proactive problem solver with strong analytical skills who can navigate complexity and drive process enhancements.LocationManhattan, NY. The team works at the Midtown office at least three days per week.Functions and ResponsibilitiesSupport the front office to perform analysis and prepare performance reports and other deliverables for current and prospective investors, senior management, and regulatorsExtract and analyze financial and performance data from internal and external sources; synthesize insights to support monitoring and reporting objectivesMonitor data quality across investment management and accounting systems; support process automation and continuous improvement initiativesCollaborate with the front office and risk/analytics professionals to determine the proper booking and monitoring approach for new transactions, and establish post-closing surveillance proceduresManage fee invoicing process across multiple funds QualificationsMinimum 2+ years of relevant experience, preferably with exposure to complex fixed income assets (e.g., structured credit, private credit, real estate)Advanced Excel skills; data analytics and programming experience a plusExperience developing reporting templates, frameworks, and processesStrong attention to detail and organizational skills, with the ability to manage multiple priorities independently in a fast-paced environmentExcellent written and verbal communication skills, with the ability to work cross-functionallySelf-starter with a strong work ethic, professional integrity, and a team-oriented mindsetStrong academic background