Cantor Fitzgerald
Portfolio Strategies Analyst
Cantor Fitzgerald, Memphis, Tennessee, United States
Job Title: Portfolio Strategies Analyst Location: Memphis TN, 5 days a week in office Firm Overview: Cantor Fitzgerald L.P., with over 12,000 employees, has been a leading global financial services firm at the forefront of financial and technological innovation since 1945. Cantor Fitzgerald & Co. is a preeminent investment bank serving more than 5,000 institutional clients around the world, recognized for its strengths in fixed income and equity capital markets, investment banking, SPAC underwriting, PIPE placements, commercial real estate, and its global distribution platform. Capitalizing on the firm’s financial acumen and technology prowess, Cantor’s portfolio of businesses also includes Prime Brokerage, Asset Management, and other businesses and ventures. For 79 years, Cantor has consistently fueled the growth of original ideas, pioneered new markets, and provided superior service to clients. Cantor operates trading desks in every major financial center globally, with offices in over 30 locations around the world. As one of the few remaining private partnerships on Wall Street, Cantor has the distinct ability to focus on long-term value creation and solid relationship building. Our structure allows us to respond quickly to client needs, develop solutions that address complex challenges, avoid the limitations of bureaucracy, and attract talented individuals who are driven to succeed. Responsibilities: Cantor Fitzgerald’s National Markets group works closely with depository institutions, insurance companies, money managers, and municipalities across the country. This entry-level position will provide a solid introduction to the fixed-income business. Duties include loading and maintaining customer portfolios as well as managing and maintaining the data used throughout the analysis process. This position will also be responsible for producing daily/weekly/monthly reporting in addition to ad-hoc report creation. Further responsibilities will include system testing and validation and over time, portfolio and security analysis. Broad understanding of economic theory and influences on fixed income valuations Creative, forward-thinking Ability to communicate and willingness to learn Self-motivated ability to handle multiple tasks simultaneously Qualifications: Required to obtain securities industry licensing. 0-1 year of experience Educational Qualifications: MBA/Undergraduate degree in Finance/Economics CFA Candidate preferred Salary: $50,000 - $55,000 The expected base salary for this position ranges from $50,000 to $55,000.The actual base salary will be determined on an individualized basis taking into account a wide range of factors including, but not limited to, relevant skills, experience, education, and, where applicable, licenses or certifications held. In addition to the base salary and a competitive benefits package, this position may be eligible for additional types of compensation including discretionary bonuses and other short- and long-term incentives (e.g., deferred cash, equity, etc.).