Capital Markets Analyst II

National Association of Insurance Commissioners (NAIC)New York, NY
$98,000 - $125,000Hybrid

About The Position

The Regulatory Affairs division of the National Association of Insurance Commissioners (NAIC) has an exciting opportunity for a Capital Markets Analyst II in our New York City Office. This person will monitor investment markets for each of the major asset classes owned by insurers such as fixed income (corporates, munis, structured securities, etc.) mortgages, equities, and real estate as well as derivatives and produce comprehensive analytical reports. This is a full-time hybrid position in a positive and flexible environment. Residency within 100 miles of the New York City office is required.

Requirements

  • Bachelor’s degree (B.A.) in Finance, Economics or equivalent is required.
  • Related experience of at least 5 or more years; ideally at least 2 to 5 years of credit/portfolio analysis, asset management, or equivalent combination of education and experience.
  • Knowledge of capital markets required.
  • Microsoft Office (Word, Excel, and PowerPoint)
  • Knowledge and experience with SQL database queries (e.g. Oracle, Snowflake) and visualization software (e.g. Tableau) are required.
  • Residency within 100 miles of the New York City office is required.
  • Applicants must be authorized to work for any employer in the U.S. We are unable to sponsor or take over sponsorship of an employment Visa at this time.

Nice To Haves

  • Master’s degree (M.A.), M.B.A. and/or CFA charter preferred.
  • Knowledge of insurance industry, statutory accounting and risk-based capital preferred.

Responsibilities

  • Demonstrate understanding of theory and practice of portfolio construction, management, analysis, and risk management.
  • Demonstrate broad, innovative thinking to analyze credit and market risks and other issues such as liquidity and volatility; and also take into account portfolio and asset/liability considerations.
  • Perform qualitative and quantitative analysis of investment portfolios or specific parts of an investment portfolio of insurance companies, identifying specific risks and potential concerns that could impact insurer solvency.
  • Prepare preliminary Investment Analysis Reports and/or full Investment Analysis Reports for state insurance departments.
  • Collect, organize and analyze data.
  • Write database queries for data used in investment analysis.
  • Identify, analyze and interpret trends or patterns in complex data sets, and synthesize results with knowledge of financial investments and capital markets.
  • Leverage a variety of resources (i.e. industry experts, investment banking research, rating agency reports among others), identifying relevant theses, and deriving conclusions.
  • Support and discuss with NAIC staff and state regulators the risks and merits of different investments and investment practices.
  • Maintain constant vigilance of current and emerging investment issues, identifying trends and developing views on capital markets.
  • Attend conferences, webinars, seminars, NAIC continuing education courses, etc. to further knowledge of capital markets, various types of investments (i.e. asset types), and regulatory issues, broadening analytical skills as well as depth of understanding of the interconnectedness between global financial markets.
  • Maintain excellent interpersonal skills to work collaboratively with the team, various NAIC divisions and staff, as well as state regulators, to enhance and expand support of capital markets issues, and disseminate pertinent information and viewpoints.
  • Provide support on investment and capital markets issues.

Benefits

  • The NAIC offers amazing benefits. Visit our Benefits page for more information.
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