Analyst - Investment Operations

St. Jude Children’s Research HospitalMemphis, TN
Hybrid

About The Position

At ALSAC you do more than make a living; you make a difference. We like people who are different…because we’re different, too. As one of the world’s most iconic and respected nonprofits, we know what it’s like to stand out. That’s why we’re looking at you. Your background, perspective, and desire to make an impact set you apart. As we work to help St. Jude cure childhood cancer, we're calling on the game-changers, innovators and visionaries to join our family. Not just for the kids of St. Jude, but also for you. Because at ALSAC, we develop and celebrate our employees. So, bring your whole, authentic self and become part of our shared mission: Finding cures. Saving children.® As the Analyst - Investment Operations you will support the investment team through accurate, timely, and system‑driven investment reporting, data management, and operational execution. The role focuses on developing and maintaining investment system reports, improving data quality and automation, and providing analytical support for performance, risk, liquidity, and ad‑hoc investment needs. It is also responsible for executing investment transactions, reconciling portfolio activity, supporting the monthly investment close, and ensuring accurate cash and valuation records. In addition, the position assists with audits, regulatory reporting, and ongoing coordination with fund managers, custodians, and internal stakeholders.

Requirements

  • Bachelor’s degree in Finance, Statistics or related field
  • 2-4 years of experience within the investment and securities industry
  • Experience with performance monitoring/calculations, project management, performance reporting, and manager due diligence.
  • Thorough knowledge of investment operations and transactions
  • High attention to detail
  • Comfort working independently
  • Understanding of general arithmetic, finance, accounting, statistics, and investment performance calculations
  • Excellent verbal and written communication skills
  • Strong knowledge of data processing, system software applications, financial databases, and Microsoft Office and Outlook.

Nice To Haves

  • Proficiency in Microsoft Excel, with experience developing or configuring reports, dashboards, or workflows within investment, finance, or enterprise SaaS systems.
  • Knowledge of various investment products (private equity, hedge funds, public markets, alternatives, etc.).
  • CFA, CAIA, CPA, or CIMA.

Responsibilities

  • Assist in the preparation of performance, risk, liquidity, and other investment reports for internal and external stakeholders. Provide analytical and statistical support to the CIO and investment team for ad‑hoc projects.
  • Develop, enhance, and maintain system‑based reporting within investment SaaS platforms to improve operational efficiency, data quality, and automation. Assist in the evaluation, implementation, and ongoing support of investment systems, software, and analytical tools. Participate in process improvement initiatives to enhance data accuracy, efficiency, and controls.
  • Execute and coordinate subscription and redemption requests for investment decisions approved by the team. Prepare and submit required documentation, including notices, wire instructions, and settlement confirmations. Track transaction status and ensure timely settlement in coordination with fund managers and the custodian bank.
  • Assist with the review, coordination, and execution of fund manager and counterparty consents, including amendments, fund extension, and other consent‑based actions. Track outstanding requests and maintain documentation related to approvals and effective dates.
  • Monitor departmental email inboxes and the document/research management system to ensure data accuracy, completeness, and timely follow‑up. Maintain, reconcile, and validate investment portfolio data across internal systems and independent sources.
  • Monitor and coordinate portfolio activity, including capital calls, distributions, and rebalancing. Prepare and maintain detailed cash reconciliations and forward‑looking cash projections with the custodian bank. Research, document, and resolve reconciliation discrepancies in a timely manner.
  • Execute the monthly investment close process supporting ALSAC financial reporting. Reconcile portfolio valuations with custodians and external data providers. Prepare and file required TIC/SLT reports with the Federal Reserve Bank.
  • Assist with annual audits and the collection of data for tax and regulatory filings.

Benefits

  • Core Medical Coverage: (low cost low deductible Medical, Dental, and Vison Insurance plans)
  • 401K Retirement Plan with 7% Employer Contribution
  • Exceptional Paid Time Off
  • Maternity / Paternity Leave
  • Infertility Treatment Program
  • Adoption Assistance
  • Education Assistance
  • Enterprise Learning and Development
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