Analyst, Investment Performance - Montréal, Canada - Manulife
Description
_Are you looking for a supportive, collaborative workplace with great teams and inspiring leaders? You've come to the right place. We're looking for ambitious people who share our values and want to make every day better for people around the world. If this sounds like you, and the career below sounds exciting, we'd like to hear from you. _
Working Arrangement
Hybrid
The opportunity
The Investment Performance & Analytics (IP&A) team conducts thorough analysis and analytical review of investment performance, attribution, characteristics, and risk results across various investment strategies to support the front office, product specialists, risk, and reporting teams.
Responsibilities:
- Support the systems StartofDay (SOD) processes by performing control tolerance checks and data reconciliation to ensure the accuracy and completeness of information being used to calculate investment performance, attribution, characteristics, and risk results.
- Effectively identify and raise issues using proper escalation process for prompt resolution.
- Identify, research, and resolve investment performance data breaks.
- Perform and review data quality dashboards using Power BI.
- Review and refine existing controls/procedures to continuously improve the quality and ensure clear and concise documentation is created and maintained.
- Interact with appropriate individuals/groups to resolve errors as necessary.
- Participate and/or lead projects as assigned.
What motivates you?
- You obsess about customers, listen, engage and act for their benefit.
- You think big, with curiosity to discover ways to use your agile approach and enable business outcomes.
- You thrive in teams and enjoy getting things done together.
- You take ownership and build solutions, focusing on what matters.
- You do what is right, work with integrity and speak up.
- You share your humanity, helping us build a diverse and inclusive work environment for everyone.
What we are looking for
- Undergraduate degree in Finance or a businessrelated field.
- Enrolled or willing to pursue the CIPM and/or CFA designation.
- 13 years of asset management industry experience.
- Analytical and quantitative reasoning skills.
- Experience working in an environment where controls and daily deadlines are required.
- Familiar with systems such as SS&C Sylvan, FactSet, Bloomberg, MSCI, and Morningstar Direct.
- Familiar with investment accounting principles, performance measurement methodologies, risk statistics, and attribution models.
- Experience with data analytics and data visualization (Microsoft Power BI).
- Comfortable in learning new technologies and working in a changing environment.
- Ability to work effectively with others in a team environment with diverse approaches and thinking styles.
- Strong organizational and interpersonal skills
- Communication in both English and/or French (verbal and written).
What can we offer you?
- A competitive salary and benefits packages.
- A growth trajectory that extends upward and outward, encouraging you to follow your passions and learn new skills.
- A focus on growing your career path with us.
- Flexible work policies and strong worklife balance.
- Professional development and leadership opportunities.
Our commitment to you
- Valuesfirst culture
- Boundless opportunity
- Continuous innovation
- Delivering the promise of Diversity, Equity and Inclusion
- Championing Corporate Citizenship
LI-Hybrid
About John Hancock and Manulife
**Manulife is an Equal Opportunity Employer
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