Manager, Private Market Risk
About the role
CLOSING DATE: July 23, 2026 Opportunity AIMCo is seeking a Manager, Private Market Risk to join the Investment Risk Management (IRM) team within the Risk Management division. IRM supports investment decision-making by providing independent risk assessment, oversight, and advisory of investment risks at the transaction, asset class, client portfolios, and the Total Fund levels. In this generalist role, you will support Product Risk Leads to assess, monitor, and report on risks across AIMCo's private market investments, including Private Equity, Infrastructure & Renewable Resources, Real Estate, and Private Debt. This is an excellent opportunity for a risk professional who enjoys learning, collaboration, thoughtful analysis, and contributing to meaningful investment decisions. This posting will close at 11:59 pm MST on July 22, 2026. What You Will Do As a member of the Investment Risk Management team, you will support Product Risk Leads by: Conducting independent risk assessments of private market investments in Funds, Co-investments, and direct investments, including Identification of key investment risks, assessing portfolio fit, investment strategy, and broader client portfolio considerations. Contributing to portfolio risk analysis and ongoing monitoring activities that provide insight into the risk profile of private market products and support risk-informed decision-making. Partnering with colleagues across investment and risk teams to enhance risk reporting, scenario analysis, and risk modeling capabilities. Assisting in the preparation of materials for senior leadership, Board, and clients with continuous improvement mindset. Helping foster a culture of transparency, learning, collaboration, and risk awareness. What We're Looking For We recognize that great candidates bring experience through different educational, professional, and personal pathways. If you are excited about this opportunity, we encourage you to apply even if your experience does not align perfectly with every qualification listed below. To be successful in this role, you are: Curious and motivated to deepen your understanding of investments, risk management, and private markets. Thoughtful and analytical in your approach to solving complex problems. Collaborative and relationship-oriented, with a commitment to working effectively across teams. Comfortable communicating with a variety of stakeholders and adapting your message to different audiences. Organized and able to balance multiple priorities while maintaining high-quality work. Committed to continuous learning, professional growth, and contributing to a positive team environment. Technical Qualifications Bachelor's degree or higher in Finance, Economics, Commerce, Actuarial Science, or another relevant quantitative discipline. Post-graduate degree is preferred. 5+ years of relevant experience in investment management, risk management, financial analysis, or related fields. Experience with private markets is considered a plus. Progress toward, or completion of, a CFA, PRM, FRM, or similar professional designation is an asset. Strong understanding of financial markets, institutional asset management, portfolio construction, investment processes, risk management, and private market investments. Experience using data analytics, technology, or AI-enabled tools to support analysis is considered an asset. Skills and Experience Strong analytical, critical thinking, and problem-solving abilities. Ability to evaluate complex information and communicate findings clearly and effectively. Excellent written and verbal communication skills. Thorough attention to detail combined with the ability to maintain perspective on broader organizational and client objectives. Ability to prioritize work, manage competing deadlines, and contribute effectively within a team environment. Alignment with AIMCo's core values of excellence, transparency, humility, integrity, and collaboration. What Success Looks Like Within your first twelve months, you will: Develop a strong understanding of AIMCo's risk management framework, processes, and investment approach. Build productive relationships with colleagues across risk and investment functions. Deliver high-quality risk assessments and insightful analysis on transactions and portfolios. Contribute meaningfully to risk reporting, monitoring, and continuous improvement initiatives. Demonstrate AIMCo's core values through your work, partnerships, and interactions across the organization. Next Steps We are excited to meet you. Please submit your resume or CV to be considered for this opportunity. Applications are being reviewed on a rolling basis and we will be in touch with any questions. Final candidates will be asked to undergo a security screening, which includes a credit bureau and a criminal record investigation, the results of which must be acceptable to AIMCo. ALERT - Be on the lookout for AIMCo career opportunities advertised through third parties that request an application fee or too much information. To verify, all opportunities are posted on aimco.ca/jobs At AIMCo, we draw upon the differences in who we are, where we come from and the way we think to deliver results for the Albertans who rely on us. We offer an inclusive, modern workplace where well-being is prioritized, and colleagues are enabled to do their best work. Our team members are motivated by our purpose and committed to creating long-term value for our clients and their beneficiaries. If you are a purpose-driven, high-achiever excited by the prospect of working in a dynamic industry, you’ll enjoy your career with us! Introduce yourself to our recruiters and we'll get in touch if there's a role that seems like a good match. About AIMCo Alberta Investment Management Corporation (AIMCo) is one of Canada’s largest and most diversified institutional investment managers with more than CAN$194.7 billion of assets under management. AIMCo invests globally on behalf of multiple pension, endowment, insurance and government funds in the Province of Alberta. AIMCo prioritizes results and outcomes through a flexible, hybrid approach to work. We are looking for proven achievers, motivated to work in a collaborative environment to help our clients secure a better financial future for the Albertans they serve.
Not the right fit? Search for Manager, Private Market Risk jobs in Calgary, Alberta, Canada
About Alberta Investment Management Corporation (AIMCo)
The Alberta Investment Management Corporation (AIMCo) is a Crown corporation, owned by the Province of Alberta, and one of Canada's largest and most diversified institutional investment managers. AIMCo was established on January 1, 2008 with a mandate to provide superior long-term investment results for its clients and operates independently from the Government of Alberta. With assets under management of more than $160 billion, AIMCo invests globally on behalf of its Alberta-based pension, endowment, insurance and government funds, including the Alberta Heritage Savings Trust Fund.
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Manager, Private Market Risk
About the role
CLOSING DATE: July 23, 2026 Opportunity AIMCo is seeking a Manager, Private Market Risk to join the Investment Risk Management (IRM) team within the Risk Management division. IRM supports investment decision-making by providing independent risk assessment, oversight, and advisory of investment risks at the transaction, asset class, client portfolios, and the Total Fund levels. In this generalist role, you will support Product Risk Leads to assess, monitor, and report on risks across AIMCo's private market investments, including Private Equity, Infrastructure & Renewable Resources, Real Estate, and Private Debt. This is an excellent opportunity for a risk professional who enjoys learning, collaboration, thoughtful analysis, and contributing to meaningful investment decisions. This posting will close at 11:59 pm MST on July 22, 2026. What You Will Do As a member of the Investment Risk Management team, you will support Product Risk Leads by: Conducting independent risk assessments of private market investments in Funds, Co-investments, and direct investments, including Identification of key investment risks, assessing portfolio fit, investment strategy, and broader client portfolio considerations. Contributing to portfolio risk analysis and ongoing monitoring activities that provide insight into the risk profile of private market products and support risk-informed decision-making. Partnering with colleagues across investment and risk teams to enhance risk reporting, scenario analysis, and risk modeling capabilities. Assisting in the preparation of materials for senior leadership, Board, and clients with continuous improvement mindset. Helping foster a culture of transparency, learning, collaboration, and risk awareness. What We're Looking For We recognize that great candidates bring experience through different educational, professional, and personal pathways. If you are excited about this opportunity, we encourage you to apply even if your experience does not align perfectly with every qualification listed below. To be successful in this role, you are: Curious and motivated to deepen your understanding of investments, risk management, and private markets. Thoughtful and analytical in your approach to solving complex problems. Collaborative and relationship-oriented, with a commitment to working effectively across teams. Comfortable communicating with a variety of stakeholders and adapting your message to different audiences. Organized and able to balance multiple priorities while maintaining high-quality work. Committed to continuous learning, professional growth, and contributing to a positive team environment. Technical Qualifications Bachelor's degree or higher in Finance, Economics, Commerce, Actuarial Science, or another relevant quantitative discipline. Post-graduate degree is preferred. 5+ years of relevant experience in investment management, risk management, financial analysis, or related fields. Experience with private markets is considered a plus. Progress toward, or completion of, a CFA, PRM, FRM, or similar professional designation is an asset. Strong understanding of financial markets, institutional asset management, portfolio construction, investment processes, risk management, and private market investments. Experience using data analytics, technology, or AI-enabled tools to support analysis is considered an asset. Skills and Experience Strong analytical, critical thinking, and problem-solving abilities. Ability to evaluate complex information and communicate findings clearly and effectively. Excellent written and verbal communication skills. Thorough attention to detail combined with the ability to maintain perspective on broader organizational and client objectives. Ability to prioritize work, manage competing deadlines, and contribute effectively within a team environment. Alignment with AIMCo's core values of excellence, transparency, humility, integrity, and collaboration. What Success Looks Like Within your first twelve months, you will: Develop a strong understanding of AIMCo's risk management framework, processes, and investment approach. Build productive relationships with colleagues across risk and investment functions. Deliver high-quality risk assessments and insightful analysis on transactions and portfolios. Contribute meaningfully to risk reporting, monitoring, and continuous improvement initiatives. Demonstrate AIMCo's core values through your work, partnerships, and interactions across the organization. Next Steps We are excited to meet you. Please submit your resume or CV to be considered for this opportunity. Applications are being reviewed on a rolling basis and we will be in touch with any questions. Final candidates will be asked to undergo a security screening, which includes a credit bureau and a criminal record investigation, the results of which must be acceptable to AIMCo. ALERT - Be on the lookout for AIMCo career opportunities advertised through third parties that request an application fee or too much information. To verify, all opportunities are posted on aimco.ca/jobs At AIMCo, we draw upon the differences in who we are, where we come from and the way we think to deliver results for the Albertans who rely on us. We offer an inclusive, modern workplace where well-being is prioritized, and colleagues are enabled to do their best work. Our team members are motivated by our purpose and committed to creating long-term value for our clients and their beneficiaries. If you are a purpose-driven, high-achiever excited by the prospect of working in a dynamic industry, you’ll enjoy your career with us! Introduce yourself to our recruiters and we'll get in touch if there's a role that seems like a good match. About AIMCo Alberta Investment Management Corporation (AIMCo) is one of Canada’s largest and most diversified institutional investment managers with more than CAN$194.7 billion of assets under management. AIMCo invests globally on behalf of multiple pension, endowment, insurance and government funds in the Province of Alberta. AIMCo prioritizes results and outcomes through a flexible, hybrid approach to work. We are looking for proven achievers, motivated to work in a collaborative environment to help our clients secure a better financial future for the Albertans they serve.
Not the right fit? Search for Manager, Private Market Risk jobs in Calgary, Alberta, Canada
About Alberta Investment Management Corporation (AIMCo)
The Alberta Investment Management Corporation (AIMCo) is a Crown corporation, owned by the Province of Alberta, and one of Canada's largest and most diversified institutional investment managers. AIMCo was established on January 1, 2008 with a mandate to provide superior long-term investment results for its clients and operates independently from the Government of Alberta. With assets under management of more than $160 billion, AIMCo invests globally on behalf of its Alberta-based pension, endowment, insurance and government funds, including the Alberta Heritage Savings Trust Fund.