Analyst, Transaction Services - Liberty Mutual Investments

Liberty Mutual InsuranceBoston, MA
$75,000 - $121,000Hybrid

About The Position

The Transaction Services team is central to Liberty Mutual Investments' (LMI) investment activities, facilitating the launch of new investments by connecting the deal-making world of investors with the operational and accounting infrastructure. This team, part of LMI’s Finance team within the Global Investment Solutions Organization, is known for its cross-functional nature and intellectual rigor, engaging with nearly every asset class and transaction type in the portfolio. Transaction Services provides expertise in deal structuring, technical accounting, valuation, capital management, derivatives, and accounting policy across all asset classes. The team collaborates with investment professionals throughout the entire transaction lifecycle, from due diligence and execution to ongoing financial reporting. They also conduct operational due diligence (ODD) on new investment managers to evaluate their operational readiness. The team delivers independent valuations for illiquid assets like private equity, private credit, real estate, and infrastructure using a structured and transparent framework. Additionally, Transaction Services manages relationships with leading global audit and advisory firms, ensuring alignment on accounting and audit treatments for complex transactions such as consolidation, debt restructuring, derivatives, and securitizations. This function balances innovation with strict accounting integrity as investment structures become more complex. As an Analyst on the Transaction Services team, you will play a key role in closing and onboarding private investments in areas such as private equity, private credit, real estate, and structured transactions. You will work with complex legal and financial documents, apply judgment in interpreting transaction terms, and collaborate closely with investment teams, legal counsel, accounting, and external fund managers to ensure accurate deal execution. You will also contribute to the ODD program, gaining insight into LMI's evaluation and partnership process with asset managers, including emerging managers focused on institutionalizing their operations. This role is ideal for individuals early in their careers seeking to build deep expertise in private markets operations, enhance analytical skills, and establish a broad network within the investment community. The team operates in a hybrid environment, combining in-office collaboration with remote work flexibility.

Requirements

  • Bachelor’s degree in Accounting, Finance, Economics, or a related field
  • 1–3 years of experience in investment operations, transaction support, fund accounting, or financial services
  • Basic understanding of private investment structures and financial instruments; exposure to private equity, private credit, or fixed income is preferred
  • Strong attention to detail with the ability to manage multiple transactions simultaneously in a fast-moving environment
  • Demonstrated ability to interpret financial and legal documents, with a willingness to develop deeper proficiency over time
  • Solid Excel and data management skills
  • Strong organizational and communication skills; comfortable working across teams and with external counterparties
  • A problem-solving mindset and genuine curiosity—you ask good questions and follow them through

Nice To Haves

  • Familiarity with US GAAP and statutory accounting principles or NAIC frameworks
  • Experience with or interest in the responsible use of AI tools in a financial or operational context

Responsibilities

  • Supporting the end-to-end closing process for private investments—including private equity, private credit, real estate, and structured transactions—by coordinating documentation, funding, and system setup
  • Reviewing transaction documents such as LPAs, credit agreements, and deal summaries with a critical eye—going beyond term extraction to assess implications for operational and accounting setup and escalating issues that require judgment
  • Setting up new investments, legal entities, and securities in internal systems, ensuring accuracy of investment attributes, cash flows, and reporting fields
  • Partnering with investment teams, legal, accounting, operations, and external service providers to ensure smooth transaction onboarding and settlement
  • Supporting our ODD program for new LMI relationships—engaging directly with asset managers, including emerging managers, to assess their operational infrastructure and support the build-out of institutional-quality processes
  • Managing deal pipelines and closing timelines; proactively following up on outstanding items to keep transactions on schedule
  • Reconciling and validating transaction details post-close, including positions, cash, and key economic terms
  • Assisting with accounting assessments and documentation by gathering data and preparing analytical support for senior team members
  • Maintaining organized transaction records and supporting audit and compliance requests

Benefits

  • Comprehensive benefits
  • Workplace flexibility
  • Professional development opportunities
  • Opportunities provided through our Employee Resource Groups
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