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CPP Investments | Investissements RPC

Analyst, Strategy, Risk & Operations, Capital Markets & Factor Investing (12-Month Contract)

On site

Toronto, Canada

Freelance

31-12-2025

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Skills

Communication Problem Solving Critical Thinking Python Relationship Building Effective Communication Risk Reporting Programming Organization Recruitment Analytics

Job Specifications

Company Description

Make an impact at a global and dynamic investment organization

When you join CPP Investments, you are joining one of the world’s most admired and respected institutional investors. As a professional investment management organization, CPP Investments invests the funds of the Canada Pension Plan (CPP) to help ensure its financial sustainability for generations of working and retired Canadians.

CPP Investments invests across regions and asset classes to build a globally diversified portfolio. It holds assets in public equity, private equity, real estate, infrastructure, and fixed income, and the CPP Fund is projected to reach $3.6 trillion in assets by 2050. The organization is headquartered in Toronto with offices in Hong Kong, London, Mumbai, New York City, San Francisco, São Paulo, and Sydney.

CPP Investments successfully attracts, selects, and retains talented individuals from top-tier institutions worldwide. Join our team for access to:

Stimulating work in a fast-paced and intellectually challenging environment
Accelerated exposure and responsibility
Global career development opportunities
Diverse and inspiring colleagues and approachable leaders
A hybrid-flexible work environment with an emphasis on in-person collaboration
A culture rooted in principles of integrity, partnership, and high performance
An organization with an important social purpose that positively impacts lives

If you have a passion for performance, value a collegial and collaborative culture, and approach work with the highest integrity, invest your career here.

Job Description

The Capital Markets and Factor Investing Department (CMF) invests assets globally in public equities, fixed income securities, currencies, commodities, and derivatives, and manages the engagement of investment managers and co-investments in public market securities.  

We are recruiting an Analyst in the Strategy, Risk & Operations (SRO) group of CMF for a 12-month contract starting May 2026. The SRO team oversees CMF’s portfolio strategy, operational and business strategy and portfolio construction and risk. This includes responsibilities related to the department's strategy, developing both annual and long-term investment plans, portfolio construction, program execution approach, and managing CMF's overall operations.

What You’ll Do 

Maintain and enhance a robust portfolio construction and risk analytics platform used to monitor and manage a complex investment portfolio.
Model investment programs using a variety of portfolio construction and risk models.
Maintain and update position and exposure information, market data, and P&L results.
Prepare portfolio review and risk reporting packages for the Investment Committee and Senior Management.
Support operational, technology and data initiatives to enable scaling of CMF’s investment programs.
Special projects and other duties as assigned - must be comfortable pivoting as priorities shift in a complex and dynamic environment. 

Qualifications

We look for candidates that have a track record of academic success while balancing extracurricular activities, a strong interest in the financial markets and portfolio management as well as effective communication, interpersonal and relationship building skills. In addition, the most successful candidates combine energy, enthusiasm, and intellectual curiosity, with a demonstrated interest in investing. 

A recently completed undergraduate/graduate degree or graduated in April 2025 or later in a quantitative finance discipline: Economics, Finance, Mathematical Finance, Financial Engineering
Passion for Investment Management, Economics and Financial Markets
Strong quantitative, problem solving and critical thinking skills 
Excellent written and verbal communication skills 
Programming/scripting experience using Python (and associated stats libraries)
Demonstrates our Guiding Principles of Integrity, Partnership and High Performance 

Additional Information

If you have an interest in working with talented professionals in the financial industry in an environment of integrity, partnership and high performance, then you should consider a career in at CPP Investments.

To apply, please include a cover letter, resume and transcripts (full unofficial version) by January 4, 2026 at 11:59pm EST.

Visit our Linkedin Career Page or Follow us on Linkedin.

At CPP Investments, we are committed to diversity and equitable access to employment opportunities based on ability. We thank all applicants for their interest but will only contact candidates selected to advance in the hiring process.

Our Commitment To Inclusion And Diversity

In addition to being dedicated to building a workforce that reflects diverse talent, we are committed to fostering an inclusive and accessible experience. If you require an accommodation for any part of the recruitment process (including alternate formats of materials, accessible meeting rooms, etc.), please let us know and we wi

About the Company

CPP Investments is a professional investment management organization with a vital purpose: to help provide a foundation on which Canadians build financial security in retirement. To help maximize the CPP Fund for generations to come, we invest across all major asset classes: public equities, private equities, real estate, infrastructure and fixed income instruments. Commenting Policy Keep It Clean: Comments that include offensive, abusive, defamatory, obscene or inappropriate content will be deleted. Keep It Courteous: We... Know more