Senior Associate, Reporting & Platform
Listed on 2026-01-07
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Finance & Banking
Financial Analyst, Financial Reporting
Location: Indianapolis
Allworth Financial Operations Indianapolis, Indiana, United States
Allworth Financial ( ) is an independent investment financial advisory firm that specializes in retirement planning, investment advising, and 401(k) management with a direct approach to financial planning. Allworth Financial delivers long- and short-term investment planning solutions and advice to help clients achieve their goals and plan strategically for retirement.
Allworth Financial is a high growth, private equity backed, multi branch Registered Investment Advisor. Founded in Sacramento, California, in 1993 Allworth is primarily a fee-based, employee-centric fiduciary advisory firm, that prides itself on emphasizing client well-being and education. The business is a multi-billion dollar firm and is on track for continued growth through both acquisitions and strong organic growth. Allworth is considered a great place to work and was once again given the prestigious “Circle of Excellence” award by the National Business Research Institute for employee and client satisfaction in 2021, placing it among the best-loved brands in America.
Allworth Financial was also recognized as a Barron's Top 40 RIA in 2024.
The Senior Associate, Performance Reporting & Platform Support, plays a pivotal role in the execution and oversight of investment operations processes, acting as a bridge between the front office (portfolio management, trading) and back office (custody, accounting, reporting). This role supports trade lifecycle management, portfolio data integrity, system reconciliation, and operational risk mitigation. The ideal candidate will have an intellectual curiosity and desire to understand how investments transact and move through systems.
This candidate should thrive in a fast-paced, evolving environment and demonstrate meticulous attention to detail, strong analytical skills, and a collaborative mindset.
This is a full-time, Exempt role based out of our Addison, TX or Indianapolis, IN office and requires 5 days of in-office work.
DUTIES AND RESPONSIBILITIES:Cash and Position Reconciliation
- Perform daily and monthly reconciliations between portfolio accounting systems and custodial records.
- Own reconciliation oversight within Tamarac, identifying and resolving position, cash, and transaction issues.
- Support post-trade and daily composite review processes, with potential support from offshore resources.
Corporate Actions & Specialized Processing
- Manage corporate action and reorganization processing, including event tracking, execution, and advisor hand-off strategy.
- Lead coordination with Chicago Clearing, including assessment and oversight of potential full-service outsourcing.
Client Reporting & Data Oversight
- Oversee Tamarac quarterly report generation as needed, ensuring consistency, accuracy, and advisor alignment.
- Maintain ownership of complex reporting logic, including model-based rebalancing processes and exceptions.
- Assist in the generation, documentation and review of composite returns, adhering to strict performance reporting standards.
- Support implantation of additional Tamarc fields (e.g., custom fields, objective history) to enhance strategy alignment and reporting logic.
- Review and plan for appropriate treatment of accrued interest across accounts in future development phases.
Client Experience & System Design
- Collaborate with the Client Experience team on the layout, design, and logic of the client portal to ensure consistency with investment structure and user expectations.
- Maintain and validate security mapping and classification to ensure integrity across internal systems.
Risk Management & Compliance Support
- Perform best execution reviews and maintain appropriate documentation and audit trails.
- Partner with compliance to ensure proper portfolio and trade documentation is captured for composite performance reporting.
- Support audit processes, document operational procedures, and monitor adherence to investment policy guidelines.
Client Account Maintenance & Onboarding
- Facilitate new client and account onboarding from an operational perspective, ensuring all investment instructions are properly established.
- Maintain and update…
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