FC

Fiera Capital

Verified Job Source

The power of thinking

Montreal, Quebec

Financial Services
501–1,000 people

About

Fiera Capital is a leading independent asset management firm with a growing global presence and approximately CAD 160.2 billion in assets under management as of March 31, 2026. The Company delivers customized and multi-asset solutions across public and private market asset classes to institutional, financial intermediary and private wealth clients across North America, Europe and key markets in Asia. Fiera Capital's depth of expertise, diversified investment platform and commitment to delivering outstanding service are core to our mission of being at the forefront of investment management science to create sustainable wealth for clients. Fiera Capital trades under the ticker FSZ on the Toronto Stock Exchange. Headquartered in Montreal, Fiera Capital, with its affiliates in various jurisdictions, has offices in over a dozen cities around the world, including New York (U.S.), London (UK), and Hong Kong (SAR). Fiera Capital Corporation does not provide investment advisory services, or offer investment funds, in the United States or to U.S. persons. In the U.S., asset management services are provided by the Firm’s U.S. affiliates, including Fiera Capital’s U.S. division, Fiera Capital Inc., which is registered with the U.S. Securities and Exchange Commission (SEC). Registration with the SEC does not imply a certain level of skill or training. Additional information about Fiera Capital Corporation, including the Firm's annual information form, is available on SEDAR at www.sedar.com. Additional information about Fiera Capital’s U.S. division is available in its annual Form ADV at www.sec.gov/iard. For important disclosures related to Fiera Capital, please visit: www.fieracapital.com/en/legal-notice For important disclosures related to Fiera Capital’s US division, please visit: us.fieracapital.com/important-disclosures/#goto-social-media-disclosures

Open positions

Analyste, Tenue des registres des porteurs de parts (Contrat de 8 mois)

Hybrid · Montréal

The analyst supports the end-to-end trading process for Canadian mutual funds, coordinating account openings and managing relationships with third-party record keepers. They are responsible for reconciling transactional data between internal records and custodians to ensure timely settlement of cash flows.

Analyst, Unitholder Recordkeeping (8 months contract)

Hybrid · Montréal

The analyst will support the end-to-end trading process for Canadian pooled funds, including managing trade information and coordinating new account setups. They are also responsible for reconciling positions and transactional data between internal records and third-party recordkeepers.

Directeur(-trice), Administration des portefeuilles (Canada)

Hybrid · Toronto

Oversee portfolio administration activities, including cash management and reconciliation across various asset classes to ensure data accuracy in the IBOR. Lead and develop a team of analysts while collaborating with investment and distribution teams to maintain operational efficiency and client satisfaction.

Directeur(-trice), Administration des portefeuilles (Canada)

Hybrid · Montréal

Oversee portfolio administration activities, including cash management and reconciliation across various asset classes to ensure data accuracy in the investment book of record. Lead and develop a team of analysts while collaborating with investment, operations, and distribution teams to optimize operational efficiency.

Manager, Portfolio Administration (Canada)

Hybrid · Toronto

The Manager, Portfolio Administration leads a team responsible for cash administration, reconciliation, and maintaining accurate investment accounting data within the IBOR. They partner with internal stakeholders to ensure operational readiness, manage vendor relationships, and support client inquiries and audit requests.

Directeur(-trice), Investissement durable

Hybrid · Toronto

Lead the sustainable investment (ESG) strategy for Fiera Real Estate in Canada, integrating ESG considerations across the entire investment and asset management cycle. Manage ESG data collection and reporting while acting as the primary point of contact for investor communications regarding sustainability.

Director, Sustainable Investing

Hybrid · Toronto

The Director will drive the Sustainable Investing strategy for Fiera Real Estate in Canada by integrating ESG considerations throughout the investment and asset management lifecycle. They will also lead ESG data management, regulatory compliance, and investor communications to support the firm's long-term sustainability objectives.

Quantitative Junior Analyst, Implementation and Portfolio Rebalancing

Hybrid · Montréal

The Junior Analyst will manage order generation and portfolio rebalancing for Private Wealth clients while ensuring alignment with investment policy statements. Additionally, the role involves driving process innovation through automation and supporting investment counsellors with detailed policy drafting and business information.

Senior Director, Human Resources Business Partner and Talent Development

Hybrid · Montréal

The Senior Director acts as a strategic partner to executives, translating business priorities into integrated people solutions that support organizational performance and culture. They lead talent development initiatives, manage workforce planning, and coach leadership teams on complex people matters.

Directeur(-trice), Mesure des rendements mondiaux

Hybrid · Toronto

Lead a team of analysts in calculating and presenting investment performance across various asset classes in compliance with GIPS standards. Coordinate annual GIPS audits and collaborate with portfolio management and distribution teams to ensure high-quality client reporting.

Associé(e) du service à la clientèle

Hybrid · Montréal

The role provides administrative and customer support to institutional client managers, focusing on portfolio inquiries and account maintenance. Key tasks include coordinating account openings, managing cash flows, and preparing quarterly client reports.

Directeur(-trice), Mesure des rendements mondiaux

Hybrid · Montréal

Lead a team of analysts in calculating and presenting investment performance across various asset classes in compliance with GIPS standards. Coordinate annual GIPS audits and collaborate with portfolio management and distribution teams to ensure high-quality client reporting.

Senior Full Stack Engineer

Hybrid · Toronto

Design, develop, and maintain full stack applications to support investment, trading, and operations workflows. Partner with business stakeholders to deliver scalable technology solutions and modernize legacy systems using cloud-native Azure services.

Manager, Global Performance Measurement

Hybrid · Toronto

The Manager, Global Performance Measurement leads a team of analysts to calculate and report investment performance results while ensuring adherence to GIPS standards. They act as a subject matter expert, collaborating with internal stakeholders to manage service delivery, operational readiness, and client reporting.

Client Service Associate

Hybrid · Montréal

The Client Service Associate assists Institutional Client Managers with administrative tasks, client support, and business development activities. Responsibilities include managing account openings, coordinating cash management, preparing client reports, and building presentations for quarterly meetings.

Vice-président(e), Gestionnaire adjoint(e) du fonds

Hybrid · Toronto

The Vice President and Assistant Fund Manager will play a key role in developing portfolio strategy, executing investments, and managing the governance of the Fiera CORE Real Estate Fund. Responsibilities include supervising due diligence, financial modeling, and supporting investor relations and capital raising activities.

Vice President, Deputy Fund Manager

Hybrid · Toronto

Support portfolio strategy, execution, and governance for the Fiera Real Estate CORE Fund. Oversee due diligence, financial modeling, and investor communications to maximize portfolio value and returns.