About the role

Stanford Management Company (SMC), the University's investment office, invests the Merged Pool, which includes substantially all of the University's investable endowment assets. The investment portfolio is designed with the dual goals of preserving the purchasing power of the Endowment for future generations of Stanford students and scholars and enabling a robust annual disbursement to the University's operating budget. SMC primarily relies on carefully chosen external partners to select individual securities, allowing Stanford to benefit from specialized knowledge in asset classes that reward superior active management. SMC is seeking an organized and detail-oriented Trade & Cash Operations Analyst who will report to the Manager, Trade & Cash Operations. This position is critical for facilitating securities transactions and cash movements while providing key investment information to the SMC investment team. The ideal candidate will demonstrate high productivity, meticulous attention to detail, and strong problem-solving skills, with proven experience in equity and fixed income security settlement and cash flow management. DutiesUnique to This Role: Provide constituents with relevant, accurate, and consistent information for investment oversight and decision making. Produce cash forecast for daily asset allocation reporting, explaining key fluctuations and changes for use by the Investment Team. Facilitate securities transactions, complex securities, settlements, and reconciliations. Monitor all investment approvals and activity, accurately record activity, and serve as the primary interface with internal and external parties.*Other duties may also be assigned The expected pay range for this position is is $92,000 - $120,000 per annum.
Core Duties:
  • Calculate performance and perform structured analysis of resultsfor marketable and non-marketable investments.
  • Provide effective, relevant, and focused financial managementreports and dashboards. Identify and investigate discrepancies andunderlying issues in reporting; recognize exceptions, develop solutionsthat may require policy changes or development of new reports and/ordashboards.
  • Provide portfolio and asset allocation reporting. Run, maintain, reconcile, review, combine, analyze and validate financial data sets, utilizing financial databases and key financial information frommultiple systems including Solovis, Bloomberg, and others.
  • Prepare fund movements for authorization including internal cashtransfers, wire set-up, and investment funding. Resolve issues, recognize exceptions and recommend solutions.
  • Process, record, and perform recurring investment accountingactivities and maintain integrity of accounting and investment data for
  • Merged Pool and School & Department Funds investments.
  • Collect data and perform research on details of transactions.
  • Ensure work complies with complex internal policies and externalregulations which may require interpretation.
  • Onboard new investments, ensuring that all investments areaccurately set up in custodian's and Stanford's systems. Deposit keyinvestment manager materials on internal data storage system.
  • Prepare, track, and process investment valuations, transactions, and corporate actions. Ensure related documentation is completed andarchived. Prepare reconciliations to custodian records.
  • Work as a member of a project team and contribute to changemanagement strategy through communication and collaboration withothers.
  • Serve as a first line resource to brokers and custodian bank; identify and resolve issues.
  • Interface with key internal and external stakeholders, includingexhibiting a strong customer service orientation.
Minimum Educationand: ExperienceAssociate's degree or combination of education and workexperience. Bachelor's degree and two years of relevant experience, or acombination of education and relevant work experience.
Knowledge, Skills and Abilities:
  • Experience with a variety of investment types (public andprivate).Understanding of and ability to apply accounting skills andconcepts. Knowledge of and experience with accounting systems. Proficiency in business applications, such as Microsoft Officesuite, especially Excel.
  • Experience in financial modeling and business intelligenceapplications to produce analysis and presentations.
  • High degree of accuracy, strong attention to detail, andefficient execution of responsibilities
  • Robust organizational skills and ability to prioritize workload, set deadlines independently, and complete tasks in a timely andefficient manner.
  • Strong communication skills, including ability to preparematerials for and clearly and effectively communicate information tointernal and external audiences, client groups, and management.
  • Full time
Posting Date: 2026-08-25

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JOB OVERVIEW

Salary

$92,000 - $120,000 per annum

Experience level

Senior

Location

Palo Alto, CA

Occupation

Financial Specialists, All Other

Industry

Trust, Fiduciary, and Custody Activities

Posted

13 days ago

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