Quantitative ESG Analyst

Sorry, this job was removed at 04:18 p.m. (CST) on Thursday, Sep 04, 2025
Boston, MA
In-Office
Financial Services
The Role

Acadian Asset Management LLC is a Boston-headquartered investment management firm with wholly owned affiliates located in Singapore, London, and Sydney. As of March 31, 2025, the firm managed approximately US$121 billion on behalf of major pension funds, endowments, foundations, governments and other investors based in the U.S. and abroad.


Position Overview:

The successful candidate will work on some of the most challenging data science problems in Responsible Investing. In this role, you will help design custom solutions to meet clients’ sustainability needs and develop an understanding of emerging ESG trends and global regulations/standards. You will work closely with cross-functional teams including the portfolio construction group, investment analytics, and the global client group, communicate effectively with stakeholders and present insights. As a key member of our dynamic team, you will also help nurture a culture of continuous learning and innovation, ensuring that we remain at the forefront of Responsible Investing. The ideal candidate is ambitious, determined, and self-motivated, and able to navigate a fast-paced environment.

Acadian supports a hybrid work environment. Employees are on-site in the Boston office 3 days a week.

What You’ll Do:

  • Support the Director of Responsible Investing and members of the Responsible Investing team in aspects of research, oversight, and preparation of external communications, presentations and materials.
  • Write clear, concise answers to clients’ and prospects’ questions, based on knowledge of Acadian’s processes and pertinent new research.
  • Explore structured and unstructured datasets with a focus on data preparation, transformation, outlier detection, and feature engineering.
  • Collaborate on the design of ESG constraints for client-driven investment solutions, help build predictive models and design interactive data applications.

 We’re Looking for Teammates With:

  • Bachelor's degree in Quantitative Finance, Computer Science, Mathematics, Statistics, or a related STEM field, with 2+ years of experience on the buy-side or sell-side.
  • Strong communication skills with the ability to translate complex analytical insights for both technical and non-technical audiences.
  • Well-organized and detail-oriented, with a methodical approach to work, strong multi-tasking skills, and the ability to collaborate across regional offices and time zones.
  • Proficient in financial analysis, modelling, and statistics, with experience extracting insights from heterogeneous multi-dimensional datasets. Ability to apply machine learning techniques (e.g., scikit-learn, PyTorch, TensorFlow) and present complex data visually using Matplotlib, seaborn, or Streamlit.
  • Fluent in Python, with experience working with data processing libraries such as Pandas.
  • Strong SQL skills, a good understanding of Linux, parallel computing tools, and experience with Git, Jira, and Confluence.
  • A demonstrated interest in sustainability, systematic investing and a willingness to undertake self-study towards the CFA Sustainable Investing Certificate.

To apply for this position or view Acadian’s open roles, please visit the Careers section of our website at: http://www.acadian-asset.com/careers/Job-opportunities. We will contact only selected candidates.  If you are a candidate with a disability, or are assisting a candidate with a disability, and require an accommodation to apply for one of our jobs, please email us at [email protected].

Acadian Asset Management LLC is committed to providing equal employment opportunity to all employees and  applicants. No employee or applicant shall be discriminated against on the basis of gender, race, creed, color, sex, age, national origin, marital status, pregnancy or parenthood, veteran status, citizenship status, disability, gender identity, or sexual orientation.


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The Company
HQ: Boston, MA
411 Employees
Year Founded: 1986

What We Do

Acadian Asset Management is a global, systematic investment manager. Founded in 1986, Acadian is head-quartered in Boston, with affiliates in London, Singapore, and Sydney. We find our edge in the convergence of talented people, rich data, and powerful tools – all underpinned by a collegial culture with an ardent appetite for continuous research and healthy debate.

Building on the idea that markets are inefficient, we were among the first firms in the world to apply data and technology to the systematic evaluation of global investments. With over 35 years of data-driven insights, we manage equity and credit strategies intended to deliver active returns and alternative strategies designed to deliver absolute, uncorrelated results. Our sustainable investing capabilities provide a platform for both client-specific solutions and a cutting-edge approach to engagement.

DISCLOSURE: Acadian Asset Management is not responsible for the content provided on any linked external site and makes no warranties, express or implied, for the accuracy of any content or use of a third-party website and assumes no liability for any errors, inaccuracies, or omissions for third-party website content. While Acadian is providing a link to a third-party website, Acadian does not control, approve, or endorse the website or any of its contents, its sponsor, or any of the policies, activities, products, or services offered on the site or by any advertiser on the site.

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