Recherche d'emploi > Toronto, ON > Temporaire > Senior analyst

Senior Analyst, External Funds Operations (19-month contract)

CPP Investments
Toronto, ON, CA
100K $ / an (estimé)
Temporaire

Company Description

Make an impact at a global and dynamic investment organization

When you invest your career in CPP Investments, you join one of the most respected and fastest growing institutional investors in the world.

With current assets under management valued in excess of $500 billion, CPP Investments is a professional investment management organization that globally invests the funds of the Canada Pension Plan (CPP) to help ensure long-term sustainability.

The CPP Fund is projected to reach $3 trillion by 2050. CPP Investments invests in all major asset classes, including public equity, private equity, real estate, infrastructure and fixed-income instruments, and is headquartered in Toronto with offices in Hong Kong, London, Luxembourg, Mumbai, New York City, San Francisco, São Paulo and Sydney.

CPP Investments attracts and selects high-calibre individuals from top-tier institutions around the globe. Join our team and look forward to :

  • Diverse and inspiring colleagues and approachable leaders
  • Stimulating work in a fast-paced, intellectually challenging environment
  • Accelerated exposure and responsibility
  • Global career development opportunities
  • Being motivated every day by CPP Investments’ important social purpose and unshakable principles
  • A flexible / hybrid work environment combining in office collaboration and remote working
  • A deeply rooted culture of Integrity, Partnership and High Performance

If you share a passion for performance, value a collegial and collaborative culture, and approach everything with the highest integrity, here’s an opportunity for you to invest your career at CPP Investments.

Job Description

We are recruiting for an experienced Senior Analyst to join the External Funds Operations team in Investment Operations on a 19-month contract.

This role will be responsible for Investment set-ups and the maintenance of the Investments throughout the lifecycle. The individual will be responsible for processing transactional and accounting entries, preparation of reports and providing administrative support for External Portfolio Management (EPM) specializing in Hedge Funds, Co-Investments, and Managed Account Platform (MAP).

The ideal candidate for this exceptional career opportunity is a self-starter with excellent analytical skills, and prior experience in Fund Operations and Investment Accounting.

The candidate will have a strong mix of operational, custody or fund accounting experience, along with solid technical and relationship management skills.

They should also understand trade processing, settlement, custody, valuation and ideally experience working for or with institutional managers, fund administration service providers or investment custodian.

Role-Specific Accountabilities :

Trade Life Cycle Expertise

  • Demonstrate strong knowledge of the entire trade life cycle for Funds investment transactions (Hedge Funds, Co-investments, and Special Investment Vehicles)
  • Review and calculate monthly NAV’s for external pooled funds and analyze the difference between estimate and final values, as well market value and PnL changes
  • Provide ongoing operational support for externally managed investments which include the preparation and review of management base and incentive fee accruals, capital calls and redemptions, and invoice payments
  • Prepare trade tickets and accounting entries and ensure figures agree with transacted amounts, completeness of supporting documentation and appropriate authorizations is in place to facilitate investment closings
  • Manage cash forecast for the business line and the proper reporting of all manager and fund related activities
  • Provide intuitive analysis of operational or business issues and provide direction in determining corrective action; promptly escalate irregular activities or issues

Investment Accounting & Reporting

  • Understand intermediate investment accounting concepts related to Hedge Funds
  • Assist in providing data for financial statements, note disclosures and management reports and ensure accuracy and completeness, as well as providing valuable insights and commentary
  • Record transactions in the accounting books and records and resolve any discrepancies as required with our business partners
  • Ensure timely completion and accuracy of transaction and holdings reconciliations
  • Assist in the review of financial statements, note disclosures and management reports to ensure accuracy and completeness, as well as providing valuable insights and commentary

Process Improvement

  • Continually strive for operational excellence. Seek ways to streamline processes, create operational efficiencies and foster a culture of continuous improvement, enhanced controls, and data integrity
  • Ensure process documentation is kept up to date for existing procedures
  • Lead or assist in various business projects and new initiatives

Relationship Building & Management

  • Partner with colleagues from the Investment Departments, Structuring and Business Management, Tax and Treasury to successfully close and fund Investment transactions by proactively identifying and resolving operational issues
  • Build new or improve existing relationships with external counterparts including Custodian Bank, Administrators, Auditors, Board of Directors, etc.

Monitor the quality of the services provided and escalate or provide feedback as necessary. Drive requests and initiatives with service providers that improve efficiency and scalability

Build a reputation as a subject matter expert in the hedge funds domain for issues related to investment operations and accounting

Qualifications

  • Relevant university degree such as Business, Economics, Finance, Commerce, or other related discipline
  • Progressive experience and knowledge of financial markets and instruments, with ideally 5+ years of experience in the Financial Services sector
  • Professional designations such as a CPA, CFA are considered an asset
  • Good understanding of various fund investment strategies, operational processes, trade lifecycle, settlement, custody, valuation, and experience dealing with institutional managers and pooled funds
  • Hands on experience in administration, financial accounting in a financial or securities capacity
  • Advanced Excel skills and comfortable learning new systems. Working knowledge of VBA and SQL is a plus.
  • Experience with SimCorp Dimensions Accounting system is an asset
  • Excellent analytical skills and the ability to think through problems, assess a variety of factors and recommend solutions
  • Strong interpersonal and organizational skills and a high degree of professionalism combined with the ability to readily adapt to rapidly changing investment business and technology environments
  • Team player who enjoys a high performance culture
  • Comfortable and flexible with constantly evolving and changing priorities and are open to new challenges
  • Exemplifies our Guiding Principles of Integrity, Partnership & High Performance
  • Il y a plus de 30 jours
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