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Investment Portfolio Analyst Jobs

As an Investment Portfolio Analyst, you will play a crucial role in managing and optimizing investment portfolios to achieve financial goals. The job involves analyzing market trends, conducting research on investment opportunities, and developing investment strategies. Investment Portfolio Analysts assess the performance of assets, manage risk, and implement asset allocation strategies. Moreover, they utilize data analysis to make informed decisions on investments. With a dynamic market environment, Investment Portfolio Analysts are in high demand and offer a rewarding career path with competitive annual salaries ranging from $60,000 to $120,000. To excel in this role, proficiency in financial analysis, risk management, asset valuation, and knowledge of investment tools like Bloomberg Terminal and Excel are essential. Work-life balance and living costs in major financial hubs are also considerations for prospective candidates.

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Showing 1 job

Senior Investment Analyst, Research and Portfolio Construction

Rest logo
Senior Investment Analyst, Research and Portfolio Construction

Rest

Sydney, NSW, AustraliaRemote1 week ago
Rest logo
Senior Investment Analyst, Research and Portfolio Construction

Rest

Open
Sydney, NSW, AustraliaRemote1 week ago
Open

About this role

Job Description

Established in 1988, Rest is one of Australia’s largest profit-to-member superannuation funds.

We support more than two million members, with around $100 billion of funds under management and are recognised as a responsible investment leader*. We believe when members understand and engage with their super, they’re more likely to get a better retirement outcome.

Everything we do at Rest is underpinned by our values and behaviours, we want to Be Daring, Keep it Simple, Take Action and Have Grit. To put it simply we want our people to thrive and love the work they do.

Reporting to the Portfolio Manager, Strategy and Dynamic Asset Allocation this role will contribute to the portfolio management of Rest’s multi-asset investment options and dynamic asset allocation positioning. They will drive the development of Rest’s multi-asset fundamental and quantitative research processes, as well supporting internal portfolio management analysis and reporting functions.

Key Accountabilities/Responsibilities

  • Undertake market, economic and investment research for use in asset class valuations, portfolio construction and implementation.
  • Develop quantitative models used to inform idea generation and dynamic asset allocation decision-making.
  • Follow macroeconomic and asset class specific information and news flow and synthesize into implications, opportunities and risks for investment strategy.
  • Develop fundamental market views and communicate them across the broader Investments team to inform portfolio construction and facilitate a total portfolio approach to investing.
  • Contribute to the daily portfolio management and oversight of all of Rest’s Options, ensuring portfolios are invested to reflect investment strategy views and in line with target asset allocations.
  • Contribute to the analysis and compilation of data used in investment reporting and decision making, including reporting to the Board and Investment sub-committee, including the forecasting of private markets deployment schedules.
  • Contribute to the development of stochastic capital market assumption models and undertake analysis on the expected impacts of market, economic and climate scenarios on portfolio positioning.
  • Undertake analysis on portfolio positioning and exposures to contribute to portfolio management and rebalancing decisions.

Qualifications

  • Degree in Finance / Economics or Actuarial studies or equivalent and proven experience
  • CFA, CAIA or similar industry qualifications highly desirable

Required experience, understanding or credentials including:

  • Significant demonstrable experience working in investment management, financial services or a quantitative role
  • Strong fundamental knowledge of global investment markets and asset classes with application to portfolio construction
  • Experience in investing for a multi-asset portfolio 
  • Programming experience in Python, R or other statistical computing language
  • Proficiency with financial data and tools – Bloomberg, Factset or similar
  • Able to clearly communicate and form conclusions on portfolio positioning and risk

Additional Information

Our benefits have been designed so you can tailor your experience with us and include:

  • Personal and professional development opportunities 
  • Hybrid working 
  • Purchase leave scheme and gender neutral 16 weeks paid parental leave 
  • Super Contribution Continuation for 12 Months of parental leave 
  • Linkedin Learning 
  • Income Protection Insurance 
  • Rest Excellence awards (peer recognition awards based on Rest’s values and behaviours) 
  • Rest Stops - meeting free breaks 

If you share our values, believe you can help make a difference for our members and want to be part of a leading superannuation fund with a Super culture, please click Apply Now.

Rest is committed to creating a flexible work environment and culture that embraces diversity, equity, and inclusion - where people feel welcome, safe to be themselves and inspired to do their best.

We value the different backgrounds, lived experiences and abilities our diverse team brings. We welcome and encourage applications from candidates of all ages, cultural backgrounds, faiths, gender identities, sexual orientations and thinking styles. This includes people with disability, neurodiverse individuals, Aboriginal & Torres Strait Islander peoples and those with disrupted work history due to career or other breaks.

Please note only people with the right to work in Australia will be considered.

*Funds under management as at 31 July 2025. Rest is recognised as a Responsible Investment Leader by the Responsible Investment Association Australia (RIAA) in its Responsible Investment Benchmark Report 2022.

 

About Rest

Non-profit Organizations

The Responsible Investment Association Australasia (RIAA) champions responsible investing and a sustainable financial system in Australia and Aotearoa New Zealand. RIAA is dedicated to ensuring capital is aligned with achieving a healthy society, environment and economy. With over 500 members representing A$76 trillion / NZ$83 trillion in assets under management, RIAA is the largest and most active network of people and organisations engaged in responsible, ethical and impact investing across Australasia.

Employees
41
Industry
Non-profit Organizations
Headquarters
Melbourne, VIC
Founded
2000
Location
Level 2, 696 Bourke Street, Melbourne, VIC 3000, AU
Specialties
ESG, responsible investment, finance, professionals, methodology, impact investing, and sustainable finance

Team

Jeremy Hubbard

Jeremy Hubbard

Helen Steel

Helen Steel

Phil Vernon

Phil Vernon

Andrea Jenke

Andrea Jenke

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