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We are looking for an experienced Financial Analyst/Manager to help guide investment decisions and strengthen portfolio performance in Louisville, Kentucky. This role supports a broad range of asset classes and combines hands-on portfolio oversight with strategic analysis, forecasting, and risk awareness. This role is responsible for developing and managing investment strategies, conducting cash flow analysis, optimizing asset allocation, supporting tax-efficient portfolio decisions, and overseeing broker relationships. The ideal candidate brings strong knowledge of capital markets, budgeting, and financial modeling, along with the ability to evaluate opportunities and translate complex data into sound recommendations.
Job Responsibility
Develop, implement, and manage corporate investment strategies aligned with financial goals and risk tolerance
Analyze cash flow trends, liquidity needs, and forecasting data to support short- and long-term investment decisions
Manage portfolio construction and asset allocation across approved investment vehicles and asset classes
Monitor market conditions, economic trends, and portfolio performance to recommend investment adjustments
Partner with finance, treasury, accounting, and tax teams to support tax-efficient investment planning and compliance
Build and maintain strong relationships with brokers, custodians, financial institutions, and external advisors
Evaluate investment risk, diversification, and benchmark performance to ensure alignment with company objectives
Prepare portfolio reports, investment updates, and strategic recommendations for senior leadership
Support financial planning initiatives by balancing capital preservation, return objectives, and liquidity requirements
Ensure adherence to internal investment policies, regulatory requirements, and governance standards
Requirements
Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field
5–10 years of experience in portfolio management, investment strategy, treasury, or corporate finance
Proven expertise in investment strategy, cash flow analysis, asset allocation, tax strategy, and broker relationship management
Strong knowledge of capital markets, fixed income, equities, liquidity management, and investment risk principles
Experience preparing financial models, portfolio performance reports, and executive-level presentations
Excellent analytical, communication, and stakeholder management skills
Proficiency in financial systems, Excel, and investment reporting tools
What we offer
medical, vision, dental, and life and disability insurance