Morgan Stanley · 1 day ago
Vice President, Institutional Portfolio & Risk Analytics, Global Investment Office
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Vice President in the Institutional Portfolio & Risk Analytics team will drive strategic initiatives and foster innovation in portfolio and risk analytics, shaping the strategy and design of institutional reporting frameworks and developing next-generation analytics platforms.
Asset ManagementFinanceFinancial ServicesLending
Responsibilities
Support the design and enhancement of a unified institutional reporting framework across segments–pensions, E&F, UHNW, and family offices
Develop conceptual frameworks for advanced portfolio analytics including attribution, benchmarking, active risk and tracking error decomposition, factor exposures, liquidity analysis, and guideline monitoring
Identify opportunities to improve reporting processes and tools, leveraging technology to enhance data points and visualizations, including automation where possible
Translate portfolio manager needs into functional requirements for the PM dashboard, including metrics, calculations, workflow, and visual design specifications
Help PMs interpret how positioning aligns with objectives, guidelines, and risk budgets
Contribute to the dashboard’s design, functionality, prototype validation, and quality control checks
Partner with Technology and Data Engineering to define data requirements, metric definitions, and tool integration
Contribute to governance frameworks by ensuring consistency and rigor in analytics definitions, methodologies, and quality standards
Qualification
Required
6-8 years of relevant work experience in performance analytics, portfolio construction, multi-asset research, or institutional reporting
Deep understanding of investment products, asset classes (public and private markets), and financial markets
Firm understanding of portfolio management concepts including asset allocation, modern portfolio theory, portfolio construction, manager selection, risk management, performance and risk analysis
Knowledge and experience in investment/wealth management data analysis tools and platforms is a plus (e.g., Aladdin, PARis, Addepar, PFaroe, Barra, Bloomberg, FactSet, Morningstar)
Advance skills in PowerPoint and Excel (read, write, interpret, and audit VBA); experience with macros
Strong verbal and written communication skills
Detail-oriented, with the ability to multitask and handle multiple priorities
Desire and willingness to learn and collaborate within a close-knit team
Proactive and hardworking, with strong professional accountability
Undergraduate degree is required
Preferred
Graduate degree, CFA, CAIA and other professional designations are preferred
Benefits
Commission earnings
Incentive compensation
Discretionary bonuses
Other short and long-term incentive packages
Other Morgan Stanley sponsored benefit programs
Company
Morgan Stanley
Morgan Stanley is a financial services company that offers securities, asset management, and credit services.
Funding
Current Stage
Public CompanyTotal Funding
unknown1997-02-05IPO
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2026-01-08
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2026-01-08
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