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Director, Asset Allocation & Strategy Investments

STRS OhioColumbus, Ohio, United StatesRemote, Onsite

STRS Ohio, STRS


The State Teachers Retirement System of Ohio (STRS Ohio) is seeking a Director, Asset Allocation and Strategy Investments to join the Investment/Management team.   Nearly two-thirds of STRS Ohio’s investment assets are managed internally by more than 100 Investment Department professionals.Established in 1920 and serving Ohio’s educators, STRS Ohio is one of the nation’s premier retirement systems, serving over 500,000 active, inactive, and retired public-school teachers, and university faculty members, managing approximately $92.8 billion as of June 30, 2023, in assets and paying more than $7 billion in benefits annually.STRS Ohio provides a competitive pay, and a comprehensive benefits package including on-site parking, educational assistance, subsidized medical insurance, fully paid dental and life insurance, vacation and sick leave, retirement benefits and on-site fitness center.  At STRS Ohio, you can experience rewarding work in a professional, business casual work environment.

We welcome, celebrate, and promote respect for everyone. We are continually seeking bright and talented individuals to join our team.

Compensation:


Competitive Pay

Work Schedule:


8:00am-5:00pm Monday through Friday, with up to two days per week remote work opportunities. 

General Summary:


Under the direction of the deputy executive director, Investments and Chief Investment Officer (CIO), assist the CIO in the oversight of the entire Investment Department to ensure quality management and performance of the total investment assets.  

Summary of Responsibilities:



  • Assist the CIO in the management of the investment assets of State Teachers Retirement System of Ohio (STRS Ohio) to meet the long-term performance objectives of the total fund. 

  • Support the CIO in the overall implementation of the investment program, strategies, risk management, transactions and compliance with the Investment Objective and Policy Statement and other board policies, investment policies and guidelines.

  • Monitor overall total fund asset allocation and liquidity; coordinating total fund rebalancing such that investment and liquidity objectives are met.

  • Conduct rigorous asset allocation analysis applying portfolio theory, quantitative and qualitative analysis and make strategic and tactical asset allocation recommendations.

  • Develop, research and review existing and new investment strategies based on rigorous due diligence and make recommendations.

  • Oversee economic research, analysis and recommendations.

  • Monitor market conditions and industry trends by developing quantitative and qualitative risk signals leading to strategic and tactical recommendations.

  • Maintain a total fund portfolio analytics system in coordination with multiple asset class portfolio analytics systems.

The above list of duties is intended to describe the general nature and level of work performed by persons assigned to this classification.  It is not to be construed as an exhaustive list of duties performed by the persons so classified, nor is it intended to limit or modify the right of any supervisor to assign, direct and control the work of associates under his/her supervision.

Summary of Qualifications:



  • Bachelor’s degree required; emphasis in business administration, economics, statistics, finance applied mathematics or a quantitative oriented field preferred.

  • Master's or Doctorate degree preferred; emphasis in business administration, economics, statistics, finance applied mathematics or a quantitatively oriented field preferred.

  • Previous supervisory and leadership experience leading, coaching and mentoring associates preferred.

  • Ten or more years of demonstrated multi-asset class experience with a comparable institutional investment manager, institutional investment consultant, asset management or investment bank with an emphasis on risk management, quantitative investment research and portfolio management analytics required.

  • Thorough knowledge of economics, finance and statistics including asset pricing theory, portfolio theory, modeling, benchmark analysis and performance measurement.

  •  Extensive experience with portfolio and risk management systems and knowledge of computer programming in relevant statistical/analytical software such as Python, Matlab, R, SAS and SQL required.

  • Chartered Financial Analyst (CFA) Charter holder preferred.

  • Eligibility for licensure as a state retirement system investment officer required.


Life at STRS Ohio

The State Teachers Retirement System of Ohio (STRS Ohio) employs about 615 associates who are provided the tools they need to succeed both personally and professionally. Our associates are dedicated to fulfilling the system's mission: To partner with STRS Ohio members in providing financial performance and member service that assures financial security for current and future retirees. STRS Ohio is widely recognized and respected as one of the leading retirement systems in the country. The system touches the lives of 439,200 active, inactive and retired Ohio educators by providing retirement benefits, access to health care coverage and many other services. With assets of $59.6 billion as of June 30, 2005, STRS Ohio is one of the largest pension funds in the United States.
Thrive Here & What We Value1. Competitive Pay2. Comprehensive Benefits Package (including on-site parking, educational assistance, subsidized medical insurance, fully paid dental and life insurance, vacation and sick leave, retirement benefits)3. On-Site Fitness Center4. Professional Work Environment5. Respect for Everyone6. Bright and Talented Individuals Welcomed7. Retirement System Serving Over 500,000 Members8. $90.1 Billion in Assets Managed9. More than $7 Billion Paid Annually in Benefits10. Flexible Work Schedule (including occasional evening, weekend, and non-regular hours)
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