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American Beacon Partners

Analyst, Asset Management

American Beacon Partners, Irving, Texas, United States, 75084

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American Beacon Partners American Beacon Partners , formerly known as Resolute Investment Managers, is a diversified asset management platform with affiliated and independent partnerships with more than 30 investment managers. Drawing on approximately 40 years of investment expertise, innovation and adaptability, American Beacon Partners delivers enduring value through traditional and alternative solutions designed to meet investors' evolving needs.

American Beacon Partners' affiliates include American Beacon Advisors, Inc.; National Investment Services of America, LLC; RSW Investments Holdings LLC; Shapiro Capital Management LLC; SSI Investment Management LLC; and Resolute Investment Distributors, Inc.

In December 2025, the company was named one of the "Best Places to Work in Money Management" by Pensions & Investments for the seventh consecutive year.

Location:

Irving, Texas (Las Colinas)

Hybrid:

In office, currently Monday-Tuesday-Wednesday each week, with the option to work from home on Thursday and Friday.

Job Description The Analyst, Asset Management, plays a key role in supporting both investment and operational functions. This position assists with the selection, evaluation, and ongoing monitoring of external investment managers for employee benefit plans and the firm's investment products, while also contributing to team-wide initiatives, process improvements, and operational workflows beyond investment-related activities.

Key Responsibilities

Actively prepares for and engages in investment manager due diligence meetings, contributing informed analysis and insights to support selection and monitoring decisions

Monitors cash activity, allocates cash and re-balances investment portfolios in accordance with investment policy for investment products and employee benefit plans

Prepares regular written analyses of portfolio performance using attribution reports, supporting fact sheets, quarterly/semi-annual/annual reports, and presentations

Actively prepares for and participates in monthly research meetings by gathering data, conducting independent analysis, and contributing original ideas and insights to research discussions

Reviews and enhances investment products marketing materials, delivers timely client support, and partners with sales and product management teams by providing expert portfolio insights.

Assists in the completion of RFIs and RFPs sent by prospective or existing clients for the investment products covered

Monitors adherence to investment guidelines in coordination with the compliance team, ensuring portfolios remain within established parameters

Tracks and analyzes portfolio performance, benchmarks, and key characteristics, including factor exposures, asset allocation, cash levels, and operational aspects of investment accounts to identify trends and ensure alignment with investment objectives.

Evaluates existing processes and develops technology-driven solutions to increase efficiency, streamline operations, and automate daily workflows for the team

Screens for potential managers using the eVestment and Morningstar databases

Interfaces with outside vendors/advisors on investment related items

Acts as the primary point of contact with sub-advisor teams and serves as a liaison between the firm and sub-advisors, coordinating communication and collaboration across internal departments

Helps prepare regular and ad hoc materials for Board meetings and client meetings, ensuring accuracy, clarity, and timely delivery

Supports ad-hoc projects across internal departments to drive efficiencies and improve processes firm-wide

Requirements

Minimum of one year of prior investment experience

Collaborative team player with a proactive mindset and ability to make sound decisions in a fast-paced, dynamic environment

Exceptional interpersonal, presentation, and written communication skills

Strong planning, organizational, analytical and technical capabilities

Demonstrated ability to manage multiple priorities independently with accuracy and attention to detail

Highly motivated, adaptable, and eager to contribute across diverse projects

Flexibility for limited business travel that may include meeting with fund managers, investment conferences and shareholder/prospect sales calls

Skilled at identifying and implementing technology solutions to enhance processes and efficiency

Advanced level proficiency in Word, Excel and PowerPoint required

Bachelor's degree required; progress towards MBA, CFA, and/or CAIA strongly preferred

Experience with risk modeling, asset allocation, and general understanding of broad asset classes preferred

Experience utilizing FactSet, eVestment, and/or Morningstar FactSet databases preferred

Seniority level

Entry level

Employment type

Full-time

Job function

Finance and Sales

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