Director, External Managers – Alternatives

RBCToronto, ON
CA$110,000 - CA$160,000Onsite

About The Position

We are seeking an experienced Director to lead a team of portfolio managers overseeing relationships with external fund managers and alternative investment partners. This role is responsible for portfolio construction, performance monitoring, strategic engagement with third-party managers, and developing expertise in alternative insurance-linked strategies.

Requirements

  • 10+ years in investment management or alternatives experience
  • Minimum 5 years managing external managers or portfolio management responsibilities
  • Strong knowledge of alternative asset classes
  • Proven team leadership and people management experience
  • Excellent relationship management and communication skills
  • Financial analysis and quantitative capabilities
  • Professional investment or risk designation (e.g., CFA, FRM, CAIA) or equivalent institutional investment experience required

Nice To Haves

  • Background in insurance industry
  • Experience with alternative manager due diligence frameworks
  • Track record building and scaling alternative investment platforms
  • Knowledge of insurance investment accounting and regulatory reporting
  • Additional actuarial credentials (e.g., FSA or ASA) are considered an asset

Responsibilities

  • Lead, mentor, and develop a team of portfolio managers
  • Assign portfolio responsibilities and set performance expectations
  • Conduct performance reviews and identify training/development needs
  • Foster a collaborative, high-performing team culture
  • Oversee monitoring and evaluation of external alternative managers against agreed benchmarks and KPIs
  • Conduct regular performance reviews and provide constructive feedback
  • Manage manager contracts, fees, and commercial negotiations
  • Escalate underperformance issues and develop remediation plans
  • Develop and maintain diversified portfolio of alternative investments (Private Debt, Infrastructure, private equity, real estate, Structured Products etc.)
  • Conduct due diligence on prospective managers and investment opportunities
  • Make recommendations on manager selection, retention, and termination
  • Ensure alignment between manager strategies and RBC Insurance investment objectives
  • Research, evaluate, and implement new asset classes and investment strategies
  • Develop approval recommendations and establish appropriate governance frameworks
  • Create portfolio guidelines, performance measurements, and reporting frameworks for new initiatives
  • Build and maintain deep expertise in insurance-linked securities, strategies and investment vehicles
  • Stay current with insurance industry trends, regulatory changes, and market developments
  • Build and maintain strong relationships with actuarial, finance, risk and business teams
  • Partner with external managers and advisors on portfolio optimization
  • Partner with external counsel on the completion and negotiation of legal contracts
  • Facilitate communication between investment and operational teams to ensure alignment
  • Provide subject matter expertise on insurance investment accounting and financial reporting
  • Review and challenge investment results, valuation approaches, and disclosures
  • Support accurate and timely financial reporting to stakeholders and regulators
  • Ensure compliance with accounting standards and insurance regulatory requirements
  • Serve as primary point of contact for key external managers
  • Schedule and lead manager meetings, reviews, and strategy sessions
  • Foster collaborative relationships to optimize outcomes for RBC Insurance
  • Communicate portfolio updates and expectations clearly
  • Develop relationships with insurance brokers and industry specialists as needed
  • Ensure managers comply with regulatory requirements and RBC policies
  • Monitor liquidity, leverage, and concentration risks
  • Prepare risk reports and maintain audit trails
  • Escalate compliance concerns promptly
  • Generate performance reports and investment dashboards for stakeholders
  • Analyze manager attribution and contribution to portfolio returns
  • Track and report on portfolio-specific metrics and risk factors

Benefits

  • flexible and modern benefits
  • competitive compensation
  • stock options
  • learning programs and tools
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