Mackenzie Investments

  • Manager, Investment Management

    Job Location CA-ON-Toronto
    Posted Date 1 week ago(5/16/2018 9:22 AM)
    Reference Number
    18-082
    # Positions
    1
    Job Type
    Full Time
    Job Industry
    Financial Services and Banking
    Career Level
    Experienced
    Years of Experience
    4
  • Job Description

    IGM Financial Inc. is one of Canada's premier personal financial services companies, and one of the country's largest managers and distributors of investment funds and other managed asset products, with over $156 billion in total assets under management as of March 31, 2018. Its activities are carried out principally through Investors Group Inc., Mackenzie Financial Corporation and Investment Planning Counsel Inc.

     

    As part of Power Financial Corporation, we are focused on the long-term strength and stability of our companies. We recognize these as core responsibilities to our clients and shareholders as we adapt and lead in an ever-changing world.

                

    THE ROLE

    This position is within a business unit that has multiple and varied responsibilities, including investment performance reporting, analysis & oversight, governance, investment risk management and investment product management.  The incumbent will have significant responsibilities in several key areas, including Database Administration, Performance Measurement and Investment Risk Management.  In addition, the incumbent may also provide key inputs into the Governance and Investment Product Management functions.

    • Provide key inputs into overall performance oversight and investment risk management functions, including identifying and evaluating mandate and IGIM-wide investment risks and opportunities.
    • Responsible for the maintenance and development of the current database of performance and fund characteristic information to facilitate reporting and analysis of investment mandate performance and risks.
    • Conduct industry and competitive analysis related to investment management mandate offerings, fund performance and other operational matters.
    • Provide input to internal product development/management functions, including in-depth analysis with recommendations.

     

    QUALIFICATIONS:

    • A minimum of 4 years relevant experience in an analyst role. Understanding within the Capital Markets.
    • Post-secondary degree in a related discipline (finance, economics, computer science)
    • Working towards completing the CFA program or other related programs.
    • Understanding of investment concepts, performance & risk measurement techniques, the Canadian Mutual Fund industry and Investors Group funds.
    • Understanding of relational database applications (Oracle & MS Access) including use of SQL. Proficient with MS Excel (including VBA), Bloomberg and FactSet would be an asset.
    • Aptitude for seeking out software features and using programming skills (in SQL, VBA and other languages) to efficiently solve business problems.
    • High level of initiative with strong communication and analytical skills.
    • Ability to work both independently and within a team-based environment.

     

    We thank all applicants for their interest in Mackenzie Investments; however only those candidates selected for an interview will be contacted. Mackenzie Investments offers an exciting and challenging work environment, a competitive base salary, performance-based bonuses, excellent benefits, recognition for your accomplishments, and opportunities for personal and professional growth.

     

    Mackenzie Investments is an equal opportunity employer and is committed to providing employment accommodations in accordance with the Ontario Human Rights Code and the Accessibility of Ontarians with Disabilities Act. Please advise Human Resources if you require an accommodation.

     

     

    File #18-082

     

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