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CI Financial: Senior Investment Grade Credit Analyst

CI Financial

This is a Contract position in Montreal, QC posted September 6, 2021.

ABOUT USCI Global Asset Management (CI GAM) is one of the country’s largest investment fund companies.

CI is known for its innovation and ability to adapt quickly to the changing needs of Canadian investors.

It provides employees with a fast-paced and challenging work environment with opportunities for advancement.

CI is part of CI Financial, a diverse group of financial services firms.Within CI GAM, the 5 member IG Credit Team manages over $6 billion of Canadian and US corporate bonds cross a diverse array of mandates on behalf of retail and institutional clients.POSITION: Senior Investment Grade Credit AnalystLOCATION: Toronto, ONSTATUS: Full-timeJOB OVERVIEWThe Senior Analyst will support the Investment Grade Team and Head of Investment Grade Credit in performing credit risk analysis on investment grade companies across a number of sectors.

This will involve in-depth analysis and financial modeling across sectors, capital structures and geographies.

Further, the Credit Analyst will also contribute to the team’s relative value decision-making and portfolio construction.WHAT YOU WILL DOThe Investment Grade Credit Team is looking for a motivated, career-oriented individual to join as a Portfolio Manager or Analyst depending on level of experience.

will include:Conduct in-depth credit research of prospective investments and ongoing analysis of portfolio holdings, including preparation and maintenance of financial models and write-upsFollow credits in assigned sectors, contribute to reporting and marketing needsRecommend and/or choose specific bonds to hold given fundamental and relative value analysisEnhance the team’s investment operations and relative value frame worksWHAT YOU WILL BRINGMinimum 5-7 years’ experience in the financial services industry, preferably with a focus on corporate credit analysis.Excellent understanding of accounting and financial statement analysis, economic theory and experience using portfolio management systems.University degree (preferably with a concentration in Business or Economics), ANDCFA designationMBA, CA, CBV an asset.Thorough knowledge of Microsoft Word, Excel, and Outlook.Experience using financial databases such as Bloomberg an asset.Excellent analytical skillsDetail-oriented, achieving high degree of accuracyGood verbal and written communicationsStrong financial modeling skillsAbility to work in a fast-paced environmentIndependent thinker and self-starter, but also collaborative and team orientedExperience in programming would be a plusWORKING CONDITIONSRoutine office environmentNon-routine office hours (approximately 50-55 hours per week)Visual stress due to high computer usageStress related to stock market conditionsWHAT YOU CAN EXPECT FROM USOur dedication to the Employee Experience at CI is aimed at supporting, empowering and inspiring our talented team through:Recognition & CompensationTraining & DevelopmentHealth & Well-beingCommunication & FeedbackIfyou are a passionate, committed and dynamic individual, please submit your resume in confidence by clicking “Apply”.Only qualified candidates selected for an interview will be contacted.CI Financial Corp.

and all of our affiliates (“CI”) are committed to fair and accessible employment practices and we are committed to providing accommodations for persons with disabilities.

If you require accommodations in order to apply for any job opportunities, or require this posting in an additional format, please contact us at, or call 416-364-1145 ext.


If you are contacted by CI regarding a job opportunity or testing and require accommodation in any stage of the recruitment process, please use the above contact information.

We will work with all applicants to determine appropriate accommodation for individual accessibility needs.Postings Tags: LI-POST IND