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Analyst, Strategy, Risk & Operations (12-Month Contract)

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 $600 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, 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

The Capital Markets and Factor Investing Department (CMF) invests assets globally in public equities, fixed income securities, currencies, commodities, and derivatives, and manages the engagement of investment managers and co-investments in public market securities.  

We are recruiting an Analyst in the Strategy, Risk & Operations (SRO) group of CMF for a 12-month contract. The SRO team oversees CMF’s portfolio strategy, operational and business strategy and portfolio construction and risk. This includes responsibilities related to the department's strategy, developing both annual and long-term investment plans, portfolio construction, program execution approach, and managing CMF's overall operations.

What You’ll Do 

  • Maintain and enhance a robust portfolio construction and risk analytics platform used to monitor and manage a complex investment portfolio.
  • Model investment programs using a variety of portfolio construction and risk models.
  • Maintain and update position and exposure information, market data, and P&L results.
  • Prepare portfolio review and risk reporting packages for the Investment Committee and Senior Management.
  • Support operational, technology and data initiatives to enable scaling of CMF’s investment programs. 
  • Special projects and other duties as assigned - must be comfortable pivoting as priorities shift in a complex and dynamic environment. 

Qualifications

Who We’re Looking For  

We look for candidates that have a track record of academic success while balancing extracurricular activities, a strong interest in the financial markets and portfolio management as well as effective communication, interpersonal and relationship building skills. In addition, the most successful candidates combine energy, enthusiasm, and intellectual curiosity, with a demonstrated interest in investing. 

  • A recently completed undergraduate/graduate degree in a quantitative finance discipline: Economics, Finance, Mathematical Finance, Financial Engineering
  • Passion for Investment Management, Economics and Financial Markets
  • Strong quantitative, problem solving and critical thinking skills 
  • Excellent written and verbal communication skills 
  • Programming/scripting experience using Python (and associated stats libraries)
  • Demonstrates our Guiding Principles of Integrity, Partnership and High Performance 

Additional Information

If you have an interest in working with talented professionals in the financial industry in an environment of integrity, partnership and high performance, then you should consider a career in at CPP Investments.

To apply, please include a cover letter, resume, and transcripts (full unofficial version).

Deadline: January 12, 2025, at 11:59 PM

Visit our Linkedin Career Page or Follow us on Linkedin.

At CPP Investments, we are committed to diversity and equitable access to employment opportunities based on ability. We thank all applicants for their interest but will only contact candidates selected to advance in the hiring process.

Our Commitment to Inclusion and Diversity:

In addition to being dedicated to building a workforce that reflects diverse talent, we are committed to fostering an inclusive and accessible experience. If you require an accommodation for any part of the recruitment process (including alternate formats of materials, accessible meeting rooms, etc.), please let us know and we will work with you to meet your needs.

Disclaimer:
CPP Investments does not accept resumes from employment placement agencies, head-hunters or recruitment suppliers that are not in a formal contractual arrangement with us. Our recruitment supplier arrangements are restricted to specific hiring needs and do not include this or other web-site job postings. Any resume or other information received from a supplier not approved by CPP Investments to provide resumes to this posting or web-site will be considered unsolicited and will not be considered.  CPP Investments will not pay any referral, placement or other fee for the supply of such unsolicited resumes or information.

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Average salary estimate

$70000 / YEARLY (est.)
min
max
$60000K
$80000K

If an employer mentions a salary or salary range on their job, we display it as an "Employer Estimate". If a job has no salary data, Rise displays an estimate if available.

What You Should Know About Analyst, Strategy, Risk & Operations (12-Month Contract), CPP Investments

Are you ready to launch your career in finance with an organization that truly makes a difference? CPP Investments, one of the fastest growing institutional investors globally, is looking for an Analyst in the Strategy, Risk & Operations group. Based in our dynamic Toronto office, this 12-month contract position offers you an incredible opportunity to dive into the world of investment management. You’ll be part of the Capital Markets and Factor Investing Department, where you’ll play a crucial role in overseeing portfolio strategy and risk management. Your day-to-day will involve enhancing our analytics platforms, modeling investment strategies, and preparing insights for our Investment Committee and Senior Management. We're eager for you to bring your passion for finance and quantitative analysis, alongside a knack for programming in Python. Here at CPP Investments, we believe in fostering a culture of integrity, partnership, and high performance which means you’ll be surrounded by intelligent colleagues eager to share their knowledge. Plus, you can take advantage of our flexible work environment that balances in-office collaboration with remote working. If you're looking for a place where your contributions matter, your curiosity is celebrated, and where you can grow your career while making a meaningful impact, then apply today!

Frequently Asked Questions (FAQs) for Analyst, Strategy, Risk & Operations (12-Month Contract) Role at CPP Investments
What responsibilities will an Analyst in Strategy, Risk & Operations at CPP Investments have?

As an Analyst in Strategy, Risk & Operations at CPP Investments, you'll maintain and enhance our portfolio construction and risk analytics platform, model investment programs, and prepare comprehensive portfolio review and risk reporting packages for senior management. The role involves dynamic responsibilities such as supporting operational and technology initiatives, furthering your understanding of investment strategies while being part of innovative projects tailored to a complex environment.

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What qualifications do I need to apply for the Analyst, Strategy, Risk & Operations position at CPP Investments?

Candidates need to possess a recently completed undergraduate or graduate degree in a quantitative finance discipline such as Economics or Financial Engineering. A demonstrated passion for investment management, strong quantitative and problem-solving abilities, as well as experience in Python programming are essential to excel in this Analyst position at CPP Investments.

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What kind of work environment does CPP Investments offer for the Analyst role?

CPP Investments promotes a flexible and hybrid work environment that allows for both in-office collaboration and remote working. This dynamic setup encourages productivity while ensuring you connect with colleagues and mentors, enhancing your professional growth as an Analyst in Strategy, Risk & Operations.

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How does the role of Analyst impact CPP Investments' overall mission?

The Analyst position in Strategy, Risk & Operations is crucial for CPP Investments as it drives the operational and strategic aspects of portfolio management. By efficiently analyzing risk and constructing investment plans, you'll directly contribute to the fund's long-term goals of sustainability, ensuring the success of the Canada Pension Plan assets under management.

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What skills are vital for success in the Analyst, Strategy, Risk & Operations position?

Success as an Analyst at CPP Investments hinges on a combination of quantitative analysis, programming skills in Python, and effective communication. Strong problem-solving abilities and a collaborative spirit will help you thrive in this intellectually challenging role while you engage with diverse teams and contribute to the broader investment strategy.

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Common Interview Questions for Analyst, Strategy, Risk & Operations (12-Month Contract)
Can you describe your experience with portfolio construction and risk analytics?

When answering this question, focus on specific examples from your academic or internship experiences. Discuss any projects where you successfully implemented risk analytics and the impact it had on portfolio performance. Highlight your familiarity with different analytical tools and frameworks.

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How do you approach modeling investment programs?

Discuss your methodology in modeling investment programs, including data collection techniques and the types of models you've utilized. It's beneficial to mention any software or programming experience you have, especially with Python, and the analytical outcomes of your models.

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What do you know about CPP Investments and its investment strategies?

Showcase your understanding of CPP Investments by touching on its diverse asset portfolio, the significance of sustainable long-term investments, and how the organization aligns its strategies with economic trends. Demonstrating knowledge about their recent initiatives can also set you apart.

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How do you handle competing priorities in a fast-paced environment?

Provide examples of past experiences where you managed multiple tasks or projects under tight deadlines. Emphasize your organizational skills, time management techniques, and how you maintain a proactive approach in complex situations.

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What programming languages are you proficient in, and how have you used them in your past work?

It's important to highlight your proficiency in Python, especially if you have experience with its statistical libraries. Discuss concrete examples where you've utilized programming for data analysis, modeling, or automation, and how these experiences relate to the tasks expected in the Analyst role.

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What recent trends in financial markets do you believe will impact investment management?

Show that you're keeping up with current events by discussing specific market trends affecting investment strategies, such as technological advancements, ESG factors, or macroeconomic shifts. Present your understanding of how these elements could translate into risks and opportunities for CPP Investments.

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Can you explain a complex financial concept to someone without a finance background?

Demonstrate your communication skills by selecting a complex financial concept and breaking it down into easily digestible parts. This shows not only your understanding of the topic but also your ability to convey ideas clearly to varied audiences, an essential skill as an Analyst.

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How do you stay informed about significant changes in the investment landscape?

Discuss the resources you utilize to stay updated with market changes, such as financial news platforms, academic journals, and networking with professionals in the field. This illustrates your commitment to continuous learning and professional development.

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What do you think are the most important qualities in a successful Analyst?

Provide a thoughtful answer by mentioning qualities such as analytical skills, attention to detail, strong communication, and the ability to work collaboratively in a team. Discuss how you exemplify these qualities and how they contribute to successful outcomes.

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What attracts you to the Analyst position at CPP Investments?

Share your genuine enthusiasm for the role and the organization. Mention specific aspects of CPP Investments’ mission, culture, or growth opportunities that resonate with you. Connecting your career goals with their objectives can demonstrate alignment and interest.

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DATE POSTED
January 9, 2025

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