Securities Finance Portfolio Manager Global Capital Markets recruitment

In order to build a diversified portfolio of CPP assets, the CPP Investment Board invests in public equities, private equities, real estate, inflation-linked bonds, infrastructure and fixed income instruments. Headquartered in Toronto, with offices in London and Hong Kong, the CPP Investment Board is governed and managed independently of the Canada Pension Plan and at arm's length from governments.

Role Summary

We are presently recruiting for an experienced Securities Finance Portfolio Manager within the Global Capital Markets (GCM) group in Public Market Investments based in Toronto.  GCM in its role as execution provider for the fund is responsible for all transactions in public market securities, supporting internal active management programs, as well as the implementation and management of the fund’s passive portfolio.

Reporting to the Senior Portfolio Manager- GCM Structured Arbitrage and Execution, the PM plays a key role in Securities Finance trading globally. This position requires prior experience with Securities Finance and derivatives with a focus on equities and structuring transactions.

The Portfolio Manager assists team members in evaluating investment opportunities, conducting research, developing investment recommendations, execution of investments and monitoring and managing investments.

Role Specific Accountabilities

• Responsible for pricing and executing Securities Finance transactions with a focus on equities and Structured Trades

• Identifying and researching new investment opportunities within these business lines and in collaboration with internal active management programs

• Reviewing ISDA based derivative, CSA, repo and secured note documentation

• Maintaining and developing relationships with internal portfolio managers to aid in the execution of their investment mandates and fund liquidity

• Maintaining and developing external relationships with sell side institutions in Equity Finance and funding product areas to identify opportunities

• Working as part of the Global Capital Market’s trading group to optimize and implement strategies related to the efficient implementation of the passive portfolio and beta management

If you possess the following, we’d like to hear from you:

• A minimum of 8 years relevant work experience

• Experience with Securities Finance and derivatives with a focus on equities and structuring transactions

• International experience a plus

• Excellent negotiation and communication skills (verbal and written)

• Evidence a strong understanding and interest in business law, finance, trading and structuring as well as strong analytical skills

• Experience with operations functions including; trade capture, accounting, valuations, reporting and cash related processes. Reconciliation of PL reports between back and front office to ensure correct derivative settlements

• Demonstrated prioritization and organizational skills with a very high attention to detail

• Proven ability to work independently as well as to  perform effectively in a team oriented environment

• Ability to work and learn quickly in a high performing culture, under pressure and with time-sensitive deadlines

• Preferably a Masters degree in Business, Mathematical Finance or other quantitative field. CFA an asset.

• Exemplify our Guiding Principles of Integrity, Partnership, and High Performance

If you are looking for an exciting opportunity and to build a career in an innovative and dynamic investment organization, please hit APPLY ONLINE below and submit your resume online

         We thank all applicants for their interest, however only candidates
              Selected for an interview will be contacted.
        CPP Investment Board is an Equal Opportunity Employer.