Investment Analyst / Finance Technical Accounting

Hartford HealthCareFarmington, CT

About The Position

The Investment Analyst supports the healthcare system’s investment functions with a primary focus on monthly and quarterly investment reconciliations and reporting for both the long-term portfolio and operating investments. The role also provides analytical oversight of direct investments. The analyst collaborates across Finance, Accounting, Treasury and external managers/custodians to ensure data integrity, timely close, and decision-ready insights that advance the organization’s mission and capital stewardship.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 2–3 years of relevant experience in investment operations, investment accounting, portfolio analysis, or treasury within an institutional, asset management, or corporate environment.
  • Strong proficiency with Excel (advanced functions, pivot tables, lookups), and comfort with large datasets and reconciliations.
  • Familiarity with investment instruments (equities, fixed income, mutual funds/ETFs), and basic understanding of alternatives (private equity, private credit, real assets).
  • Working knowledge of GAAP for investments, NAV calculations, performance measurement, and benchmark comparisons.
  • Excellent attention to detail, organization, and time management; ability to meet deadlines in a fast-paced environment.

Nice To Haves

  • Master’s degree
  • 5 or more years of relevant experience in investment operations, investment accounting, portfolio analysis, or treasury within an institutional, asset management, or corporate environment.
  • Progress toward or interest in CFA, CAIA, or CPA.
  • Experience with healthcare systems or mission-driven institutions.
  • Exposure to direct/strategic investments, capital call structures, and partner reporting.
  • Experience with custodial platforms, investment accounting systems, or BI/reporting tools.

Responsibilities

  • Prepare and review monthly/quarterly reconciliations of investment accounts, including custodial statements, general ledger, and sub-ledger activity; research and resolve variances promptly.
  • Validate NAVs, income (dividends/interest), fees, accruals, realized/unrealized gains/losses, and capital calls/distributions; ensure proper GAAP and internal policy alignment.
  • Maintain and update the investment roll-forward and financial statement footnotes, support close calendar deliverables and audit requests.
  • Track and monitor Investments: unfunded commitments, footnote data by investment class, track capital calls, distributions, valuations and covenants.
  • Coordinate with external partners, sponsors, and internal stakeholders to collect documentation (K‑1s, quarterly reports, Audited Financial Statements and compliance certifications).
  • Monitor direct investments by working with Morgan Stanley to obtain and review quarterly questionnaires.
  • Uphold internal control standards, and investment policy compliance.
  • Partner with Accounting to ensure accurate disclosures of audited financial statements; prepare audit support.
  • Identify opportunities to improve processes surrounding data ingestion, reconciliations, and reporting (e.g., Excel/Power Query/Power BI), improving timeliness and data quality.
  • Liaise with custodians, investment managers, consultants, and internal teams (Finance, Accounting, Treasury) to ensure consistent, reliable information and financial reporting deadlines are met.

Benefits

  • competitive benefits program designed to ensure work/life balance
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service