Shape the future of investment strategies with Manulife as a Senior Investment Analyst specializing in retail asset allocation. Work in a hybrid mode and focus on macroeconomic integration.This key role within Manulife's Multi-Asset Solutions Team is vital for the oversight of Canadian asset allocation portfolios. Partner with portfolio managers to implement robust trading strategies and refine risk assessments. Your research efforts will support macro integration, promoting insights that enhance client communications and elevate fund performance.Key Responsibilities:
Manage and oversee asset allocation portfolios effectively
Analyze trading activities and participate in rebalancing processes
Engage in macroeconomic research and portfolio construction
Communicate strategic insights to retail stakeholders
Innovate using analytics to streamline portfolio workflowsRequirements:
Bachelor’s degree in Economics or Finance;
CFA, MBA preferred
5-7years of investment experience required
Must demonstrate bilingual proficiency (English/French)
Robust quantitative and analytical background in asset allocation
Familiarity with financial tools like Aladdin and BloombergBring your expertise in investment analysis and macro research to drive impactful change at Manulife.#J-18808-Ljbffr