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Investment Analyst – Portfolio Construction

Job ID 2025-16121 Date posted 12/29/2025 Primary Location Waltham, Massachusetts Hiring Range: $100,400 - $144,300 Workstyle On-Site
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Overview

As a mutual insurance company, we believe our corporate structure allows us to invest for the long-term with a focus on investment fundamentals rather than short-term market volatility. We achieve this through internal and externally managed strategies across a variety of markets and styles that best allow us to preserve and grow the company's capital.

  • Full Time

    Full Time

  • Level: Mid

    Level: Mid

  • Travel: Yes

    Travel: Yes

Success Profile

What makes a successful Investments team member at FM?
Check out the top traits we're looking for and see if you have the right mix.

  • Detail Oriented
  • Driven / Self-Starter
  • Excellent Communicator
  • Collaborative
  • Creative Thinker
  • Diligent

Testimonial

As CIO, I strongly believe that top talent, subject matter expertise - bottom up and top down, collaboration and seamless execution will define our long-term success towards excellence in investment management.

We have embarked on an exciting journey to further build a top-notch sophisticated investment management framework, focusing on excellence in portfolio management, best practices processes and top talent -- onboarding, developing and retaining. We are based in the greater Boston area, an absolutely vibrant eco-system for investment management. We are adding to our Insurance investments team in the areas of risk and performance analytics, multi-asset investments including equities & fixed income, and insurance investments risk management. We are also adding mid-level talent to the Pension Investments team for the Defined Benefit (open plan) and Defined Contribution plan.

Sanjay – Chief Investment Officer – Employee Since 2018
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Benefits

Responsibilities

Established nearly two centuries ago, FM is a leading mutual insurance company whose capital, scientific research capability and engineering expertise are solely dedicated to property risk management and the resilience of its policyholder-owners. These owners, who share the belief that the majority of property loss is preventable, represent many of the world’s largest organizations, including one of every four Fortune 500 companies. They work with FM to better understand the hazards that can impact their business continuity to make cost-effective risk management decisions, combining property loss prevention with insurance protection.

Schedule and Location:

This is a full time position, office-based, in Waltham, MA and Boston, MA.


We are seeking a highly analytical and collaborative Investment Analyst to join our investment team. The analyst will support the team on portfolio construction, risk management, and investment strategy across major asset classes. It would require helping build and produce risk and exposure reports, conducting market and portfolio research, delivering analytics driven insights that inform risks and positioning across the portfolio. This position requires strong analytical skills and financial modeling expertise to support decision-making across the investment platform.

  • Apply quantitative and analytical techniques to support asset allocation, portfolio construction, and risk management across the total portfolio and individual asset classes.
  • Monitor and evaluate portfolio performance, attribution, and risk metrics.
  • Maintain and enhance internal tools and databases used for investment analysis and reporting.
  • Develop expertise in financial time series analysis, statistical methods, and advancements in quantitative finance.
  • Collaborate with investment operations, accounting, and other support functions to ensure seamless execution and reporting.
  • Produce and maintain periodic reports and screeners across various markets and asset classes.
  • Participate in webinars, conferences, and training sessions to stay current on developments in quantitative.
  • Research and implement relevant ideas from academic literature and practitioner research to improve portfolio outcomes.
  • Perform additional duties and ad-hoc analysis as needed.

  • Bachelor’s or Master’s degree in a quantitative field (e.g., Finance, Economics, Mathematics, Engineering); prior investment industry experience is a plus but not required.
  • Programming skills, with proficiency in Python required; familiarity with Bloomberg, FactSet, BI tools, databases is a plus.
  • Excellent analytical and problem-solving skills with a keen attention to detail.
  • Demonstrated interest in investment management and quantitative finance.
  • Strong work ethic, positive attitude, and a collaborative, team-oriented mindset.
  • High sense of ownership and accountability.

The hiring range for this position is $103,040 to $148,100 annually. The final salary offer will vary based on individual education, skills, and experience. The position is eligible to participate in FM’s comprehensive Total Rewards program that includes an incentive plan, generous health and well-being programs, a 401(k) and pension plan, career development opportunities, tuition reimbursement, flexible work, time off allowances and much more.

FM is an Equal Opportunity Employer and is committed to attracting, developing, and retaining a diverse workforce.

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