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Finance & Investment Specialist (Remote)

  • Canada
  • Remote
  • Posted Sep 24, 2026
  • 1 position

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Employment type
Full-time
Experience level
Mid-level · 3+ years
Minimum education
Bachelor’s degree
Posting language
English
Working hours
40 hours per week
Seniority
Entry level
Application method
Direct apply is available

Job summary

The specialist will track asset portfolio performance, conduct financial due diligence, and prepare detailed reports for executive review. They are also responsible for evaluating market risks and providing strategic recommendations based on macroeconomic factors.

Job details

Role: Finance & Investment Specialist (Remote) Location: Remote (Canada) Employment Type: Full-Time Job Overview: We are seeking a Finance & Investment Specialist to support portfolio tracking, asset performance management, and capital allocation research. What You'll Do: Track asset portfolio performance, liquidity metrics, and yield metrics. Conduct financial due diligence on strategic corporate investments. Prepare detailed performance reports for executive committee review. Evaluate market risks and recommend strategic portfolio adjustments. Analyze macroeconomic factors affecting portfolio valuations. What We're Looking For: Bachelor’s degree in Finance, Investment Management, or Economics. 3+ years of experience in corporate treasury, asset management, or investment analysis. Strong proficiency in financial data analytical software and Excel. Strong analytical, critical-thinking, and presentation skills. Core Competencies for Success: Analytical Thinking: Ability to translate complex financial data into clear, actionable narratives. Adaptability: Comfort working independently and thriving in a fast-paced, fully remote environment. Attention to Detail: Commitment to maintaining 100% accuracy in financial reporting and compliance. Cross-Functional Collaboration: Skill in presenting financial insights to non-technical stakeholders. Why You’ll Love Working With Us: Remote-First Culture: We believe you do your best work when you have the flexibility to work from where you are most productive. Meaningful Impact: You aren't just crunching numbers; your insights will directly influence our strategic growth. Continuous Learning: We encourage professional development and support continuous learning in the ever-evolving finance sector. Equal Opportunity Employer We hire based on skills, expertise, and qualifications. All qualified candidates are welcome regardless of background, experience, or prior employment history. Applications are evaluated based on demonstrated expertise and suitability for the role. Apply Now!

What you’ll do

The specialist will track asset portfolio performance, conduct financial due diligence, and prepare detailed reports for executive review. They are also responsible for evaluating market risks and providing strategic recommendations based on macroeconomic factors.

Requirements

Candidates must hold a bachelor's degree in Finance, Investment Management, or Economics. A minimum of 3 years of experience in corporate treasury, asset management, or investment analysis is required.

Benefits

• Remote-first culture • Professional development • Continuous learning

Listed skills

  • Financial Reporting · Preferred
  • Microsoft Excel · Preferred
  • Communication · Preferred
  • Critical Thinking · Preferred
  • Cross-Functional Collaboration · Preferred

Other relevant skills

Identified from the job description. Confirm important requirements above.

  • Portfolio tracking
  • Asset performance management
  • Capital allocation research
  • Financial due diligence
  • Financial reporting
  • Market risk evaluation
  • Macroeconomic analysis
  • Financial data analysis
  • Excel
  • Analytical thinking
  • Critical thinking
  • Presentation skills
  • Cross-functional collaboration
  • Communication

Job areas

  • Finance & Accounting
  • Management & Leadership
  • Data & Analytics
  • Consulting

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