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Systems & Investment Analyst

Remote / Online - Candidates ideally in
Tampa, Hillsborough County, Florida, 33646, USA
Listing for: Shriners Children's
Full Time, Remote/Work from Home position
Listed on 2026-10-02
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst, Financial Compliance
  • Accounting
    Financial Reporting, Financial Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 75000 - 105000 USD Yearly USD 75000.00 105000.00 YEAR
Job Description & How to Apply Below
Company Overview Shriners Children’s is an organization that respects, supports, and values each other. Named as the 2025 best mid-sized employer by Forbes, we are engaged in providing excellence in patient care, embracing multi-disciplinary education, and research with global impact. We foster a learning environment that values evidenced based practice, experience, innovation, and critical thinking. Our compassion, integrity, accountability, and resilience define us as leaders in pediatric specialty care for our children and their families.

With 20+ hospitals, outpatient clinics, ambulatory care centers and outreach locations across the globe, we provide excellent care to children up to age 18 regardless of their family’s ability to pay or insurance status. Please  to learn more about our locations.

CURRENT EMPLOYEES:
Please log into Workday  to apply internally through the  Jobs Hub

Job Description The Systems & Investment Analyst is responsible for the accounting, reporting, compliance, and operational support functions related to the organization's investment portfolio and Special Purpose Trusts (SPTs). This position performs investment accounting activities, prepares financial and regulatory reporting, oversees trust accounting functions, supports audits and tax filings, and collaborates with internal and external stakeholders to ensure accurate financial records and compliance reporting.

The role serves as a key contributor to the investment and trust administration function while providing operational support across the broader Investment Team.

This is a hybrid position based in the Greater Tampa Bay area with a mix of onsite and remote work on a weekly basis.

Position Responsibilities:

Prepare and analyze monthly investment account reconciliations, journal entries, and account roll-forwards to ensure accurate recording of investment activity.

Download, review, and process investment statements and transaction activity for assigned asset classes and investment types. Prepare month-end accounting entries related to investment transactions and portfolio activity.

Review and calculate investment management fees in accordance with contractual agreements and coordinate timely payment processing.

Prepare detailed schedules and supporting documentation for monthly, quarterly, and annual financial reporting to internal and external stakeholders.

Assist in the preparation, review, and distribution of investment-related reports and analyses for management, committees, and organizational leadership.

Process portfolio rebalances, transfers, and related transactions through custodian bank and other investment platforms and portals as required.

Review of regulatory returns for Special Purpose Trusts for which the organization serves as trustee.

Coordinate charitable distributions from trust accounts and ensure compliance with trust agreements and applicable regulations. Maintain accounting records for Special Purpose Trusts, including but not limited to:
Recording market value adjustments, Processing distributions and fees, Preparing journal entries for monthly activity, Reconciling trust accounts, Monitoring investment activity

Prepare account reconciliations and supporting schedules for pooled income funds, gift annuity funds, transportation funds, restricted endowments and other special trust arrangements.

Maintain communication and coordination with internal and external service stakeholders

Utilize specialized trust accounting software to calculate asset values, income allocations, and trust distributions.

Assist in the preparation and review of assigned annual financial statement audit schedules and supporting documentation.

Respond to auditor inquiries and provide requested information related to assigned investment and trust accounting responsibilities.

Prepare regulatory filings and other external reporting requirements as assigned.

Ensure compliance with applicable accounting standards, organizational policies, trust agreements, and regulatory requirements.

Serve as a backup resource for key investment accounting and operational functions across the Investment Team.

Assist in documenting and maintaining policies, procedures, workflows, and internal controls related to assigned responsibilities.

Participate in process improvement initiatives designed to enhance efficiency, accuracy, and reporting capabilities.

Provide shared oversight and review of support staff work to ensure accuracy, completeness, and adherence to established…
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