Portfolio Management Analyst, Toronto
Top Benefits
About the role
Portfolio Management Analyst Salary: $100,000-$130,000 This is a great job for someone who is eager to build hands-on experience in portfolio management by leveraging their Fixed Income knowledge, gain exposure to global markets, and contribute to climate-focused investment strategies within a collaborative and high-performing team.
A bit about the job: We are a global asset manager that leverages our insurance heritage, investment expertise, and commitment to sustainability to deliver meaningful wealth and retirement outcomes for investors. With comprehensive capabilities across major asset classes, we offer investment excellence tailored to diverse client needs. Fixed income is at the heart of our business, drawing on deep experience across developed and emerging markets, investment grade, high yield, and liquidity strategies. In addition to pooled strategies, we provide bespoke solutions designed for consistent returns and capital preservation through market cycles.
Based in Toronto, this role sits within our Canadian Fixed Income team, which is part of our global fixed income function. The successful candidate will contribute to the growth of third-party fixed income assets under management, particularly in Canadian Core, Canadian Core Plus, and Canadian Core Plus Climate Transition strategies. You’ll gain hands-on experience in portfolio management, develop a broad understanding of global fixed income markets, and engage with climate-related investment strategies. Working closely with our Canadian portfolio managers and collaborating with global teams in Fixed Income, ESG, Risk, and Distribution, you’ll support performance and climate goals through market commentary, portfolio analysis, and client reporting. You’ll also assist with portfolio adjustments, security evaluations, valuation comparisons, and pitchbook development, while contributing to quantitative approaches in fixed income. Regularly presenting investment ideas to our portfolio management teams will be a key part of your role.
Skills and experience we’re looking for:
- You will have graduated from your Bachelor or Master’s program in Finance, Economics, or similar subjects. Enrolment in the CFA program would be an asset.
- Demonstrable knowledge of Fixed Income within the Asset Management industry, with exposure to working alongside Portfolio Managers.
- You will need to have a high degree of proficiency with Microsoft Excel (VBA, Macros, etc). Programming skills, e.g. Python would be highly advantageous.
- Exceptional quantitative skills (mathematics, statistics, modelling, etc) and a desire to grow in this area, along with strong verbal and written communication skills.
- Well-developed problem solving and decision-making skills and the ability to work independently.
What you’ll get for this role:
- Compelling rewards package including base compensation, eligibility for annual bonus, retirement savings, share plan, health benefits, personal wellness, and volunteer opportunities.
- Outstanding Career Development opportunities.
- We’ll support your professional development education.
- Competitive vacation package with the option to purchase 5 extra days off per year
- Employee driven programs focused on gender, LGBTQ+, origins, diversity and inclusion
- Corporate wellness programs to support our employees’ physical and mental health
- Hybrid flexible work model
Aviva is for everyone: We’re inclusive and welcome everyone – we want applications from all backgrounds and experiences. Excited but not sure you tick every box? Even if you don’t, we would still encourage you to apply. We also consider all forms of flexible working, including part time and job shares.
We flex locations, hours and working patterns to suit our customers, business, and you. Most of our people are smart working –spending around 50% of their time in our offices every week - combining the benefits of flexibility, with time together with colleagues.
To find out more about working at Aviva take a look here
We interview every disabled applicant who meets the minimum criteria for the job. Once you’ve applied, please send us an email stating that you have a disclosed disability, and we’ll interview you.
We’d love it if you could submit your application online. If you require an alternative method of applying, send an email to GlobalRecruitment@avivainvestors.com
About Aviva Investors
Welcome to Aviva Investors. The global asset manager that chooses integration.
The future is full of questions. Only by working closely with our clients can we find the answers. That’s why we integrate our whole business around our clients – their goals, their values and the experience they have when they work with us.
That’s why we start by listening closely and understanding their investment aspirations and concerns – from low prospective investment returns, to highly correlated asset prices; from the prospect of rising global interest rates, to the challenges and opportunities of market volatility. Through our vast collective industry experience, we’ve been through every market cycle, making us better prepared for the next one.
Inspired by our deep client insight, we build solutions that aim to defy uncertainty, answering the questions that keep our clients awake at night. From large institutional investors to individuals saving for retirement, we work together to deliver meaningful outcomes, now and over the long run.
That’s why we work hard to join the dots across asset classes to find the best investment ideas; why we break down barriers so our teams can connect seamlessly; and why we manage risk with discipline and rigour. By working in partnership, we bring components together in new ways to ensure our clients get the very best of our collective expertise with every investment.
Please remember the value of an investment and any income from it can go down as well as up. Investors may not get back the original amount invested.
Portfolio Management Analyst, Toronto
Top Benefits
About the role
Portfolio Management Analyst Salary: $100,000-$130,000 This is a great job for someone who is eager to build hands-on experience in portfolio management by leveraging their Fixed Income knowledge, gain exposure to global markets, and contribute to climate-focused investment strategies within a collaborative and high-performing team.
A bit about the job: We are a global asset manager that leverages our insurance heritage, investment expertise, and commitment to sustainability to deliver meaningful wealth and retirement outcomes for investors. With comprehensive capabilities across major asset classes, we offer investment excellence tailored to diverse client needs. Fixed income is at the heart of our business, drawing on deep experience across developed and emerging markets, investment grade, high yield, and liquidity strategies. In addition to pooled strategies, we provide bespoke solutions designed for consistent returns and capital preservation through market cycles.
Based in Toronto, this role sits within our Canadian Fixed Income team, which is part of our global fixed income function. The successful candidate will contribute to the growth of third-party fixed income assets under management, particularly in Canadian Core, Canadian Core Plus, and Canadian Core Plus Climate Transition strategies. You’ll gain hands-on experience in portfolio management, develop a broad understanding of global fixed income markets, and engage with climate-related investment strategies. Working closely with our Canadian portfolio managers and collaborating with global teams in Fixed Income, ESG, Risk, and Distribution, you’ll support performance and climate goals through market commentary, portfolio analysis, and client reporting. You’ll also assist with portfolio adjustments, security evaluations, valuation comparisons, and pitchbook development, while contributing to quantitative approaches in fixed income. Regularly presenting investment ideas to our portfolio management teams will be a key part of your role.
Skills and experience we’re looking for:
- You will have graduated from your Bachelor or Master’s program in Finance, Economics, or similar subjects. Enrolment in the CFA program would be an asset.
- Demonstrable knowledge of Fixed Income within the Asset Management industry, with exposure to working alongside Portfolio Managers.
- You will need to have a high degree of proficiency with Microsoft Excel (VBA, Macros, etc). Programming skills, e.g. Python would be highly advantageous.
- Exceptional quantitative skills (mathematics, statistics, modelling, etc) and a desire to grow in this area, along with strong verbal and written communication skills.
- Well-developed problem solving and decision-making skills and the ability to work independently.
What you’ll get for this role:
- Compelling rewards package including base compensation, eligibility for annual bonus, retirement savings, share plan, health benefits, personal wellness, and volunteer opportunities.
- Outstanding Career Development opportunities.
- We’ll support your professional development education.
- Competitive vacation package with the option to purchase 5 extra days off per year
- Employee driven programs focused on gender, LGBTQ+, origins, diversity and inclusion
- Corporate wellness programs to support our employees’ physical and mental health
- Hybrid flexible work model
Aviva is for everyone: We’re inclusive and welcome everyone – we want applications from all backgrounds and experiences. Excited but not sure you tick every box? Even if you don’t, we would still encourage you to apply. We also consider all forms of flexible working, including part time and job shares.
We flex locations, hours and working patterns to suit our customers, business, and you. Most of our people are smart working –spending around 50% of their time in our offices every week - combining the benefits of flexibility, with time together with colleagues.
To find out more about working at Aviva take a look here
We interview every disabled applicant who meets the minimum criteria for the job. Once you’ve applied, please send us an email stating that you have a disclosed disability, and we’ll interview you.
We’d love it if you could submit your application online. If you require an alternative method of applying, send an email to GlobalRecruitment@avivainvestors.com
About Aviva Investors
Welcome to Aviva Investors. The global asset manager that chooses integration.
The future is full of questions. Only by working closely with our clients can we find the answers. That’s why we integrate our whole business around our clients – their goals, their values and the experience they have when they work with us.
That’s why we start by listening closely and understanding their investment aspirations and concerns – from low prospective investment returns, to highly correlated asset prices; from the prospect of rising global interest rates, to the challenges and opportunities of market volatility. Through our vast collective industry experience, we’ve been through every market cycle, making us better prepared for the next one.
Inspired by our deep client insight, we build solutions that aim to defy uncertainty, answering the questions that keep our clients awake at night. From large institutional investors to individuals saving for retirement, we work together to deliver meaningful outcomes, now and over the long run.
That’s why we work hard to join the dots across asset classes to find the best investment ideas; why we break down barriers so our teams can connect seamlessly; and why we manage risk with discipline and rigour. By working in partnership, we bring components together in new ways to ensure our clients get the very best of our collective expertise with every investment.
Please remember the value of an investment and any income from it can go down as well as up. Investors may not get back the original amount invested.