Analyst, Retail Portfolio Operations

Connor, Clark & Lunn Financial Group Ltd.Toronto, ON
CA$68,500 - CA$80,000Hybrid

About The Position

Interested in joining one of Canada’s top performing asset managers? We are looking for a Retail Portfolio Operations Analyst for an existing vacancy on our Retail Portfolio Operations team. The Retail Portfolio Operations team is a lively and energetic group. You will have the opportunity to work and learn alongside a hardworking and dedicated team in a fun environment. The team is motivated, enjoys challenging each other, is diverse and unafraid to put in the extra work to get ahead. We rely on collaboration and are always looking to tackle the next challenge together. Our offices currently operate on a hybrid model with a combination of in-office and remote working days throughout the week.

Requirements

  • Undergraduate degree in Business, Finance, Accounting, or Economics.
  • Completion of the Canadian Securities Course is an asset.
  • Strong computer skills with advanced knowledge of MS Excel.
  • Developed knowledge of investment accounts (RRSP, TFSA, RRIF, etc.).
  • Able to continually ensure high quality output along with identifying areas for investigation.
  • Proven ability to think logically and problem solve effectively.
  • Demonstrated ability to work efficiently under pressure, dealing with changes and interruptions while maintaining strict deadlines.
  • The desire to learn processes and improve on operational efficiencies.
  • You have a collaborative spirit that helps you work well with others and you communicate effectively.
  • At least two years of related work experience, in an investment firm, bank or trust company is an asset.

Responsibilities

  • Maintaining and reconciling client portfolio and fund data. Including client cash, holdings and units. Plus, fund level cash flows and performance.
  • Working with external custodians, fund administrators as well as various areas within CC&L Business and Investment teams.
  • Responding to ad hoc client portfolio queries from custodians and front office.
  • Producing monthly, quarterly and annual client reports for High-Net-Worth clients.
  • Providing support to other teams on performance inquiries related to transactional data.
  • Trading pooled funds and monitoring of High-Net-Worth clients using our Custom Trade Order Management system.
  • Coordinating account transfers between various custodians.
  • Maintenance of client fee and holdings data in order to generate invoices and collect fees owed to CCL and relevant business partners.
  • Assisting with various process enhancement projects for CC&L Private Capital Ltd & CC&L Funds Inc.

Benefits

  • annual performance bonus
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