Senior Analyst, Investment Funds - Corporate Credit

iA Financial GroupMontreal, QC
Hybrid

About The Position

At iA Global Asset Management (iAGMA), a subsidiary of iA Financial Group, you will play a key role in the fundamental analysis of corporate issuers and in supporting the active management of credit portfolios. This position offers a unique opportunity to advance your career within an expert, collaborative, and performance-driven team, where innovation and rigor are at the core of investment decisions.

Requirements

  • Holds a bachelor’s degree in finance, economics, or a related field
  • Holds or is actively pursuing the CFA designation
  • Between 3 and 7 years of relevant experience in credit analysis or fixed income markets
  • Demonstrates strong expertise in corporate issuer analysis and a solid understanding of credit instruments
  • Excellent analytical skills, critical thinking, and intellectual rigor
  • Highly detail-oriented, autonomous, and able to manage multiple priorities
  • Strong written and verbal communication skills and collaborates effectively across teams
  • Advanced Excel skills (including VBA)
  • Strong programming skills in Python and data warehousing
  • Good knowledge of Bloomberg
  • Bilingual (French and English), both spoken and written
  • An advanced level of English is required, as the role involves analyzing international issuers, reviewing English-language financial documentation, and interacting regularly with external stakeholders (analysts, issuers, market participants).

Nice To Haves

  • Master’s degree is an asset

Responsibilities

  • Conduct in-depth fundamental analysis of corporate issuers (investment grade and high yield) across Canada, the U.S., and globally
  • Assess credit quality, financial outlook, and associated risks of issuers
  • Develop investment recommendations based on rigorous analysis
  • Monitor covered companies closely (financial results, credit events, sector trends)
  • Participate in meetings with issuers, sell-side analysts, and other market participants
  • Support portfolio managers in security selection and sector allocation
  • Identify relative value opportunities within credit markets
  • Develop and enhance quantitative analytical tools (Excel, VBA, Python) to support decision-making
  • Support operational activities related to portfolio management (cash flows, data validation, new issue allocations, etc.)
  • Contribute to the preparation of presentations for investment committees and internal clients

Benefits

  • Flexible group insurance
  • Competitive retirement plan
  • Share purchase plan
  • Vacation and wellness days
  • Telemedicine and employee assistance program
  • Performance bonus
  • Discounts on iA products
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