Principal, Total Portfolio Management Trading Desk

OPTrust

$120K — $150K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Postgraduate degree in business, finance, engineering, physics, mathematics, or computing preferred.
  • 5+ years of trading and portfolio management experience.
  • Deep understanding of derivatives and financial products focusing on trading, pricing, and risk management.
  • Strong ability to work under pressure and manage multiple priorities effectively.
  • Exceptional communication and interpersonal skills for relationship building.
  • Proficient in programming languages such as Python, VBA, and SQL.
  • High attention to detail and strong process orientation.

Responsibilities

  • Develop and implement fixed income and global FX strategies for alpha generation.
  • Manage the Plan's liability hedging program actively.
  • Execute trades in both derivative and cash products as a team.
  • Perform investment and trade-related reporting including trade costs and analysis.
  • Build and maintain relationships with sell side trading firms.
  • Enhance trading desk processes and tools, including spreadsheets.
  • Leverage AI tools for pricing, trading, and risk management support.

Benefits

  • Comprehensive benefits package including health and wellness initiatives.
  • Flexible working arrangements with a hybrid model in Toronto.
  • Opportunities for professional development and continuous learning.
  • Collaborative work environment fostering teamwork and integrity.
  • Involvement in impactful projects contributing to the Total Fund's success.
Full Job Description
Principal, Total Portfolio Management Trading Desk

Department: Investment Division

Type: Full-Time - Permanent

Location: Toronto (Hybrid)

Posting Date: June 19, 2026

About the role

In this role, the Trader/Principal, Fixed Income and FX, works in a fast-paced environment with a small team of highly skilled investment professionals, making investment decisions and managing risk in uncertain markets. The Total Portfolio Management Group (TPM) oversees the Plan's liquid assets using a total portfolio approach to allocate and manage exposures across internal and external strategies. Within TPM, the Funding, Liquidity and Trading desk leads capital markets execution, funding and liquidity management, and oversight of the Plan's public markets exposures. This role offers broad exposure and the opportunity to build expertise across asset classes.

What you'll do
  • Develop and implement fixed income (primarily Canada & US) and global FX strategies, generating alpha through macro, rates, credit, and currency positioning.
  • Actively engage in the management of the Plan's liability hedging program,
  • Execute trades in derivative and cash products as part of a cross-asset team.
  • Perform investment and trade related reporting, including commission, trade cost analysis, and other reporting as required.
  • Develop strong relationships with sell side trading firms.
  • Improve existing spreadsheets, processes and tools used by the trading desk,
  • Develop and implement AI-enabled tools and processes to support pricing, trading, portfolio management and risk management functions.
  • Actively participate in collaborative decision-making processes in the Funding, Liquidity and Trading group and at the Total Portfolio level regarding portfolio construction and risk management from a top-down and bottom-up perspective.
  • Serve as an asset class & markets specialist.
  • Work in close coordination with risk, finance, legal, middle office, compliance and other groups across the Total Fund.
  • Support and contribute to Total Fund projects and initiatives.
  • Proactively identify operational risks or control deficiencies in the business.
  • Perform other duties as assigned.


What you bring
  • A degree, preferably postgraduate, in business, finance, engineering, physics, mathematics, or computing.
  • A minimum of 5 years of relevant trading and portfolio management experience.
  • Broad knowledge of derivatives and financial products, from a trading, pricing and risk management perspective.
  • Ability to prioritize and multi-task under pressure while maintaining quality of work.
  • Excellent communication and interpersonal skills, able to effectively communicate complex issues and build key working relationships.
  • Strong programming abilities including Python, VBA, SQL.
  • A high attention to detail and process orientation.
  • Previous experience using Bloomberg an asset.
  • Exemplify OPTrust's values: collaboration and teamwork, integrity, respect, flexibility, excellence, and continuous improvement.


This posting is for an existing vacancy.

Please submit your application via Workday by July 3, 2026.

We thank all interested applicants, however only those under consideration will be contacted.

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