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Guardian Capital GroupVerified Job Source

Analyst, Fund Operations

Support fund operations for Guardian Capital LP, overseeing administrative duties for various pooled, mutual, and real estate funds. Responsibilities include managing trade operations, NAV calculations, financial reporting, and coordinating with third-party service providers.

  • On-site
  • Toronto, ON
  • Posted Aug 30, 2026
  • Apply by Sep 29, 2026
  • 1 position

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Job summary

COMPANY STATEMENT: Founded in Toronto in 1962, Guardian Capital Group Limited (Guardian) is a global financial services company, which provides investment management services to institutional, retail and private high and ultra-high-net-worth clients through its subsidiaries. Guardian is headquartered in Canada and operates in Canada, the United Kingdom, the United States and the Caribbean. Guardian is a wholly owned subsidiary of Desjardins Global Asset Management Inc., which is part of the Desjardins Group. To learn more about Guardian, visit www.guardiancapital.com. JOB STATEMENT: Reporting to the Senior Manager Fund Analyst the main responsibility of this position is to support all fund operations for Guardian Capital LP, overseeing administrative responsibilities for the pooled funds, mutual funds, liquid alternative, exchange-traded funds, offshore funds, and the real estate fund managed by Guardian. Key attributes for a successful candidate are supervisory experience, organizational skills, along with expert knowledge of funds. The position will have numerous tight deadlines throughout the day and manage ongoing projects to support the expansion of Guardian Capital LP retail business with a wide mandate of duties. ESSENTIAL FUNCTIONS: Trade Operations: Maintain IBOR system (Eagle) Maintain OMS system (Charles River) Daily custody cash and position reconciliation Manage the trade flow Maintain and open local markets with custodian Calculate hedge ratios Review margin or collateral requirements Calculate iNAV and associated custom baskets as required Fund Operations: Manage the daily fund operations related to NAV with 3rd party service providers Review and authorize fund payments Coordinate annual review of MER with the Senior Management team and provide input on estimated MER Calculate profitability of each fund and forecasting Calculate any management fee rebates Calculate and review performance fees or carried interest Monitor fund expense and perform quarterly expense analysis Coordinate complex transactions and any fund accounting activities Periodically update and review operational procedures Relationship management with all 3rd party service providers Coordinate new fund launches and fund activities Serve as a subject matter expert to support internal parties within Guardian Capital LP Support prospectus renewals Coordinate record keeping for investors Coordinate annual audit Distributions and Tax: Calculation of monthly, quarterly, annual fund distributions Monitor tax positions related to income and capital gains Coordinate annual taxable distributions Coordinate annual reporting of T3 to internal and external parties Coordinate annual PFIC reporting Review T3 returns Coordinate HST calculation and blended rates Financial reporting: Responsible for interim and annual financial statements and MRFP Support ETF and Fund Facts creation Assist internal Guardian Capital LP parties to disseminate reporting Assist in fund performance review QUALIFICATIONS & EXPERIENCE: Bachelor's degree in Business, or equivalent Strong investment fund accounting, custody, and record keeping knowledge Strong tax understanding Excellent time management and ability to escalate as appropriate Considerable industry knowledge Exceptional knowledge of Microsoft Excel; VBA and python experience are an asset Effective problem-solving skills, with the ability to work independently and as a part of a team; Strong interpersonal and organizational skills as well as the ability to meet deadlines Bilingual candidates preferred (English & French) COMPENSATION: The base salary range is expected to be between $60,000 - $75,000, with eligibility for a discretionary bonus. Please Note: All applications submitted are reviewed in detail by our HR team. In certain aspects of the hiring process artificial intelligence (AI) tools may be used, specifically for screening and assessments. These tools support our team and are used to help bring relevant criteria to the foreground and do not replace human judgment. We are committed to using AI responsibly, fairly, and in compliance with applicable employment and anti-discrimination laws. We regularly review these tools to help prevent bias or discrimination.

What you’ll do

Support fund operations for Guardian Capital LP, overseeing administrative duties for various pooled, mutual, and real estate funds. Responsibilities include managing trade operations, NAV calculations, financial reporting, and coordinating with third-party service providers.

Requirements

Requires a Bachelor's degree in Business or equivalent with strong knowledge of investment fund accounting, custody, and tax. Proficiency in Microsoft Excel is essential, with VBA and Python skills considered an asset.

Benefits

• Discretionary Bonus

Listed skills

  • Time managementPreferred
  • CustodyPreferred
  • Problem solvingPreferred
  • interpersonal skillsPreferred
  • Microsoft ExcelPreferred
  • record keepingPreferred
  • PythonPreferred

Other relevant skills

Identified from the job description. Confirm important requirements above.

  • Fund Accounting
  • Custody
  • Record Keeping
  • Tax Knowledge
  • Microsoft Excel
  • VBA
  • Python
  • Time Management
  • Problem Solving
  • Interpersonal Skills
  • Organizational Skills
  • Bilingualism

Job areas

  • Finance & Accounting
  • Data & Analytics
  • Administrative

Additional details

Minimum education
Bachelor’s degree
Minimum experience
2+ years
Apply by
Sep 29, 2026
Posting language
English
Working hours
40 hours per week
Seniority
Associate
Application method
Direct apply is available