IA Financial Group

Director, Portfolio Manager, Corporate Bonds

IA Financial Group$100K — $130K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in finance, accounting, or related field.
  • Master's degree is a plus.
  • Minimum 7 years of experience in fixed income markets, with at least 3 years in credit portfolio management.
  • Knowledge of Investment Grade corporate bond market in Canada or the U.S.
  • Understanding of the investment reality for insurers is advantageous.
  • Strong investment judgment and ability to work in uncertainty.
  • Collaborative spirit with portfolio managers, research, and trading teams.

Responsibilities

  • Manage public corporate bond portfolios primarily Investment Grade for general funds, accountable for investment decisions and risk profile.
  • Identify and leverage relative value opportunities to outperform a benchmark.
  • Ensure portfolios meet client objectives while adhering to their constraints and risk appetite.
  • Collaborate closely with portfolio managers and the credit research team.
  • Contribute actively to the team's decision-making process and follow it closely.
  • Discuss credit market trends with other investment teams and represent the team in internal and external forums.
  • Present and defend investment strategies and recommendations to internal decision-making bodies, including the investment committee.
  • Propose and implement process improvements.
  • Lead or participate in ad hoc projects related to public corporate bonds for general funds.
  • Coach junior team members.

Benefits

  • Opportunity for high autonomy in decision-making.
  • Dynamic and stimulating work environment.
  • Potential for professional growth and career advancement.
  • Collaboration with a highly skilled investment team.
  • Engagement in process improvement initiatives.
Full Job Description
Job Description

Director, Portfolio Management, Corporate Credit

Are you looking to join one of the most dynamic portfolio management teams? Take your career to new heights with our public credit portfolio management team and come work in a high-performing and stimulating environment.

This role offers a high degree of decision-making autonomy while operating within a framework of close collaboration with the investment teams.

What you'll accomplish with us:

  • Actively manage portfolios of corporate and government bonds-primarily investment-grade-on behalf of general funds, taking full responsibility for investment decisions and the portfolios' risk profiles, while considering the specific constraints of an insurer.
  • Identify and capitalize on relative value opportunities to generate outperformance relative to a benchmark index.
  • Ensure that the portfolios under your responsibility meet client objectives while adhering to their constraints as well as their risk appetite and tolerance. Monitor performance and explain deviations from a benchmark index.
  • Work closely with portfolio managers and the credit research team
  • Monitor the team's decision-making process and actively contribute to it
  • Discuss the credit market with other investment teams and represent the team at various internal and external forums
  • Present and defend investment strategies, recommendations, and positioning to internal decision-making bodies, including the investment committee.
  • Propose and implement process improvements.
  • Participate in or lead ad hoc projects related to public corporate bonds on behalf of the general funds
  • Mentor junior team members.


What Could Help You Succeed in This Role

We are looking for someone who:
  • Bachelor's degree in finance, accounting, or a related field.
  • Master's degree (a plus).
  • At least 7 years of experience in the fixed-income market, including at least 3 years in bond credit portfolio management.
  • Knowledge of the investment-grade corporate bond market in Canada or the United States, including a solid understanding of major issuers, sectors, and market dynamics.
  • Understanding of an insurer's investment environment (a plus)
  • Strong investment judgment and the ability to thrive in an uncertain environment
  • Ability to collaborate effectively with other portfolio managers, research, and trading teams
  • CFA in progress or completed.


Required Skills:
  • Advanced programming skills.
  • Specific knowledge of Python and VBA (a plus).
  • Proficiency with the Windows environment (particularly Excel).
  • Knowledge of Bloomberg.
  • Strong ability to make decisions in an uncertain environment
  • Ability to express opinions, challenge others, and be challenged
  • Ability to maintain good relationships with partners
  • Clear and effective communication
  • Basic proficiency in French, is a plus as the candidate will be required to interact frequently with colleagues and partners across Canada on a regular basis.


Why will you enjoy working with us?
• A work environment where learning and development go hand in hand with a collective pursuit of excellence;
• A healthy, safe, fair, and inclusive environment where potential can be freely expressed and developed;
• The opportunity to work in a hybrid work environment, supported by flexibility and access to inspiring and innovative workspaces.
• Competitive benefits: Flexible group insurance, competitive retirement plan, stock purchase plan, vacation and wellness/personal development days, telemedicine, employee and family assistance program, ergonomic furniture program, performance bonuses, discounts on iA products, and more!

Apply now and take control of your career where your talent truly matters!

Hesitating to apply?

At iA, we believe in potential and value diverse experiences. If this role inspires you, go ahead and apply-your place might be with us, and we want to get to know you!

Location(s)
Quebec / 1080, Grande Allee West

Other Possible Location(s)
Montreal / 1981 McGill College AvenueToronto / 26 Wellington Street East

Company
Industrial Alliance Investment Management Inc.

Posting End Date
2026-08-21

About IA Financial Group

IA Financial Group is a Canadian insurance and financial services company. The company offers a wide range of products and services including life and health insurance, mutual funds, securities, auto and home insurance, mortgages, and loans. IA Financial Group has been in business for over 125 years and has over 5,500 employees. The company is committed to sustainability and has been recognized for its efforts in this area. IA Financial Group is also committed to giving back to the community and has a strong corporate social responsibility program.
Learn more about IA Financial Group
Size
5,500 employees
Industry

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