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Investment Portfolio Analyst

Job in Hillsboro, Washington County, Oregon, 97104, USA
Listing for: Columbia Bank
Full Time position
Listed on 2026-08-20
Job specializations:
  • Finance & Banking
    Financial Analyst, Risk Manager/Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 68000 - 100000 USD Yearly USD 68000.00 100000.00 YEAR
Job Description & How to Apply Below

Phoenix, Arizona

Lake Oswego, Oregon

Hillsboro, Oregon

Greenwood Village, Colorado

South Jordan, Utah

Tacoma, Washington

Full time

JR102066

About the Role:

The Investment Portfolio Analyst supports the day-to-day management, analysis, and reporting of the Bank’s investment securities portfolio (primarily fixed income securities) under the direction of the Investment Portfolio Manager. The role focuses on security- and portfolio-level analytics, transaction support, performance and risk monitoring, and governance reporting to support the Bank’s liquidity, earnings, capital, and interest rate risk objectives within its risk appetite and regulatory requirements.

The Analyst partners closely with Treasury, Finance, Risk, Accounting, and Operations to provide accurate data, strong controls, timely reporting, and audit/exam readiness in accordance with the Bank’s Investment Policy and internal procedures.

  • Performs security- and portfolio-level analysis to support buy and sell decisions including yield book analysis, unrealized loss analysis, stress and scenario analysis (including interest rate environments), and relative value to ensure alignment to strategy, liquidity, earnings (NII), capital and risk objectives.

  • Prepares trade support materials and coordinates with Treasury and broker-dealers to support accurate trade execution, settlement, and documentation in accordance with internal controls and delegated authorities.

  • Assists in monitoring portfolio performance and risk metrics including credit, duration, NII and EVE sensitivity contributions, liquidity and cash flow profiles, unrealized gain/loss trends, and AOCI considerations.

  • Supports Asset Liability Committee (ALCO) and ALCO Investment Sub-Committee processes by preparing reports, dashboards, and analytical exhibits, including limit monitoring and variance analysis.

  • Partners with Finance and Accounting to support investment accounting and reporting activities, including AFS/HTM classifications, reconciliations, and month-end and quarter-end close processes.

  • Supports credit surveillance and counter party exposure monitoring for the portfolio, coordinating with Credit and Risk teams on watch lists, downgrades, and remediation actions

  • Assists the Investment Portfolio Manager with monitoring external investment managers, advisors, and broker dealers through performance reporting and due diligence documentation.

  • Supports regulatory exams and internal and external audits through data gathering, documentation, and timely response to information requests.

  • Contributes to process improvement and automation initiatives related to investment analytics, reporting, data quality, and controls.

  • Demonstrates compliance with all bank regulations for assigned job function and applies to designated job responsibilities – knowledge may be gained through coursework and on-the-job training. Keeps up to date on regulation changes.

  • Follows all Bank policies and procedures, compliance regulations, and completes all required annual or job-specific training.

  • Maintain a working knowledge of Bank's written policies and procedures regarding applicable Bank regulations.

  • May be asked to coach, mentor, or train others and teach coursework as subject matter expert.

  • Actively learns, demonstrates, and fosters the Columbia corporate culture in all actions and words.

  • Takes personal initiative and is a positive example for others to emulate.

  • Embraces our vision to become “Business Bank of Choice”

  • May perform other duties as assigned.

About You:
  • Bachelor’s Degree or advanced degree or relevant experience in Accounting, Business Administration, Finance, Economics, or related field (required)

  • 2 years — Experience in bank treasury / investment securities portfolio management, fixed income analytics, and/or balance sheet management (e.g., AFS/HTM portfolios, liquidity and interest rate risk impacts, and governance support). (Required)

  • Working knowledge of fixed income instruments commonly held by banks, including U.S. Treasuries, Agencies, Agency MBS/CMO, municipal securities, investment‑grade corporates, and money market instruments.

  • Strong analytical skills.

  • Familiarity with bank regulatory and accounting…

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