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Vice President of Portfolio Management

2 months ago


Montreal, Quebec, Canada Mackenzie Financial Corporation Full time

Grade: D10

Referral Level: Level 1

Division: MI Investments Fixed Income & MAS

Mackenzie Financial Corporation stands as a prominent player in Canada's diversified wealth and asset management sector, overseeing approximately $271 billion in total assets. The firm offers a comprehensive suite of financial planning and investment management services aimed at assisting over two million Canadians in achieving their financial aspirations. Our operations are primarily conducted through IG Wealth Management and Mackenzie Investments.

At the heart of IGM Financial's distinctive business model lies Mackenzie Investments, established in 1967. We serve as a holistic asset-management partner for numerous Canadian financial advisors and their clients.

Build Your Career with Confidence at Mackenzie Investments.

We are driven by a vision and strategy that redefines industry standards, empowering Canadians to succeed in meaningful ways. As a member of our team, you will engage in impactful work, cultivate valuable skills, and contribute positively to the lives of Canadians. We take pride in being recognized as one of Canada's Top Employers by Mediacorp Canada Inc., for equipping our employees with the necessary tools to excel in a remote work environment while prioritizing their physical and mental well-being.

Join a dynamic team committed to continuous learning, collaboration, and knowledge sharing. You will flourish in our supportive culture, where curiosity is encouraged, and constructive feedback is provided to enhance your skills and capabilities. We are dedicated to fostering a hybrid work environment when feasible.

Mackenzie Investments is committed to inclusivity in the workplace, starting with a diverse workforce. We welcome applications from all qualified individuals representing the rich diversity of Canada, including racialized persons, women, Indigenous persons, individuals with disabilities, members of the 2SLGBTQIA+ community, gender-diverse and neurodiverse individuals, as well as anyone who can contribute to the diversification of ideas.

Position Overview

Reporting to the Vice President within the Fixed Income Portfolio Management team, the Associate Vice President will spearhead research initiatives, manage portfolios, and serve as a designated portfolio manager. This role is based in a major Canadian city.

The ideal candidate is passionate about portfolio management, innovative, and possesses strong decision-making capabilities while upholding the highest standards of integrity and honesty. They are driven by a commitment to excellence as part of a team striving to be the best in the industry. The successful candidate will acquire valuable insights and skills by participating in a team that makes investment decisions across various asset classes, geographies, and strategies.

Candidates should have a minimum of five years of experience in portfolio management and disciplined research at reputable institutions. A proven track record in managing top-down, multi-asset fixed income investment portfolios is essential. In addition to strong quantitative skills, candidates should have a profound qualitative understanding of market dynamics and fundamentals. They should value systematic investing and appreciate qualitative insights that enhance the investment process. Effective collaboration with the broader team, including portfolio managers, research analysts, traders, IT professionals, and client relationship managers, is crucial.

Key Responsibilities:

  • Engage deeply in daily portfolio management activities, including Mutual Funds, ETF portfolios, SMAs, and Index Funds.
  • Evaluate the investment merits and risks associated with various strategies and ideas.
  • Conduct macroeconomic research across global markets to generate insights and drive alpha.
  • Contribute to investment thought leadership and develop innovative investment solutions tailored to client needs.
  • Prioritize and support the team's sustainability objectives through effective portfolio management and idea generation.
  • Actively participate in discussions regarding the positioning and management of Fixed Income portfolios in collaboration with the Macro team, credit group, and Quants.
  • Represent the Mackenzie Fixed Income team at various functions, including retail due diligence and institutional gatherings.
  • Assist the Quebec Sales team by engaging in fixed income discussions with advisors for asset gathering across the province, in French. Frequent travel within the province is anticipated.
  • Draft commentaries as required for client service purposes.

Essential Qualifications:

  • PhD or Master's degree in Finance, Economics, Statistics, Computer Science, or a related discipline.
  • The CFA designation or demonstrated progress towards the CFA is advantageous.
  • A minimum of 5 years of portfolio management and disciplined research experience at prestigious institutions.
  • A strong quantitative background with a deep understanding of market drivers and fundamentals.
  • A proven history of consistent and exceptional performance in managing fixed income, macro, multi-asset, and/or asset allocation mandates.
  • Comprehensive knowledge of economics, asset pricing, portfolio construction, risk management, and derivatives.
  • Familiarity with programming (Python, R, etc.) and data management software tools (e.g., Tableau and MS Excel); database knowledge (MongoDB, SQL) is a plus.
  • Ability to perform under pressure and meet time-sensitive deadlines.

Skills and Competencies:

  • Exceptional analytical and research capabilities.
  • Ability to work independently with a high degree of initiative and resourcefulness.
  • Disciplined, analytical approach focused on problem-solving.
  • Capability to swiftly analyze and interpret large volumes of information.
  • Ability to implement strategies effectively, not just analyze them.
  • Intellectual rigor and curiosity.
  • Strong organizational and prioritization skills.
  • Ability to excel in a collaborative, team-oriented environment.
  • Energetic, client-focused, and high integrity.
  • Strong oral and written communication skills, comfortable presenting and representing the team.
  • Drive, ambition, and a commitment to continuous improvement.

We appreciate your interest in Mackenzie Investments; however, only candidates selected for an interview will be contacted.

Mackenzie Investments is an accessible employer dedicated to providing a barrier-free recruitment experience. If you require accommodations or this information in an alternate format at any stage of the recruitment process, please reach out to the Talent Acquisition team who will work with you to meet your needs.