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Position Summary:
Reporting to the Director, Investments, the Senior Analyst, Investments will help manage McGill's Pension Plan and Endowment by contributing to portfolio analytics, manager research, and implementation across public and private markets. You will develop decision-support analyses and reporting; conduct deep analyses that drive strategic and tactical asset-mix decisions and rebalancing; independently cover manager meetings and provide clear recommendations; and monitor existing managers and funds. In parallel, you will apply a pragmatic responsible-investing lens embedding material ESG factors into underwriting and ongoing oversight, engaging managers on issues that affect risk/return.
Primary Responsibilities:
1) Investment strategy, analytics & implementation
Evaluate investment opportunities (public and private markets); contribute to manager searches and strategy due diligence with clear understanding of key fund underwriting criteria.
Manager coverage: independently source and meet managers and deliver concise debriefs/diligence notes on underwriting assumptions, risks, terms, and ESG/stewardship factors, with recommendations and next steps.
Monitor existing managers and funds, maintain detailed notes, surface changes, risks, and recommend actions.
Translate Investment Committee/CIO/Director decisions into executable plans in coordination with custodians, managers, and internal stakeholders.
Leverage market/manager data tools (e.g., Bloomberg, MSCI ESG, eVestment, Mercer) to extract, clean, analyze, and visualize data for decision support.
2) Stakeholder engagement
Prepare clear presentations and recommendations for Investment Committees; contribute to strategic projects (fund recommendations, portfolio deep-dives, asset-mix studies).
Represent the Office of Investments with current and prospective managers and at industry events; build a strong network of investment/RI professionals.
3) Responsible investing leadership ("RI")
Execute and help refine McGill's RI practices (ESG integration, fund manager engagement, impact investing, and portfolio decarbonization); monitor emerging standards and distill implications into concrete underwriting or portfolio actions.
Lead/coordinate service-provider searches for outsourced RI activities; act as primary contact to oversee deliverables and performance.
Collaborate with portfolio managers to review the portfolio's carbon footprint and impact allocations using MSCI ESG Research, Bloomberg, manager ESG materials, and internal data; engage with external managers on ESG best practices and exclusions; and maintain relationships with RI associations and industry groups.
Other Qualifying Skills and/or Abilities
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