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Analyst, Performance and Treasury

3 months ago


Montreal, Quebec, Canada Fednav Limited Full time
Fednav, headquartered in Montreal, is the largest international dry bulk shipping group in Canada engaged in worldwide ocean transportation. Fednav has five international offices established on four continents. Founded in 1944, we are a driven, innovative, and respected organization committed to our employees and customers.

Reporting to the Vice-President, Investments the Analyst, Performance and Treasury will play a key role in performance reporting, risk management, treasury activities, and investment portfolio analysis across multiple asset classes.

Location: Montreal, Quebec
Work Schedule: Permanent, Full-time, hybrid in the office 3 days/week

WHAT YOU'LL BE DOING | THE ROLE

Key responsibilities include:

Performance and Risk
  • Contribute to the return calculation, performance attribution, and overall reporting of the investment results.
  • Prepare timely investment commentary for monthly and quarterly performance measurement reports for various asset classes.
  • Conduct various portfolio positioning analyses aimed at uncovering portfolio insights and help improving the investment strategy or process.
  • Analyze the risk of potential investments and communicate the results to the investment team.
  • Participate in the implementation and development of performance measurement tools.
  • Test to ensure accuracy and completeness of information being used to calculate performance and benchmarks.
  • Work on ad hoc special projects for the Investment and Middle office teams.
Investment Treasury
  • Collaborate with the Investment Treasurer for daily cash management, financing activities, cash forecasts, and preparation of cash positioning reports.
  • Coordinate the liquidity management activities for the funding of new investments, capital calls, and the receipt of investment distributions.
  • Carry the trade settlement process and related cash transactions for equities, currencies, and derivatives.
WHAT YOU BRING | THE PERSON

The ideal candidate has:
  • Bachelor's degree in finance, mathematics, actuarial science, or other related field.
  • 1 to 3 years of experience in consulting, asset management, investment analytics, performance and risk, investment operations, or other related functions.
  • Professional certification (e.g. CFA, FRM, CIPM) in progress or completed would be an asset.
  • Understanding of financial markets, investment vehicles, and various of asset classes.
  • Proficiency in the Microsoft Office Suite, especially Excel and PowerPoint.
  • Knowledge of performance measurement and attribution techniques.
  • Autonomy and initiative.
  • Efficiency, strong problem-solving ability.
  • Strong attention to detail and accuracy.
  • High quality standards and continuous improvement mindset.
  • High degree of organization and prioritization skills.
Honesty, integrity, commitment to professional excellence, regard for employees and
corporate responsibility define our values.