Posted 3d ago

Fixed Income Research and Trading

@ Trisura
Toronto, Ontario, Canada
$100k-$150k/yrOnsiteFull Time
Responsibilities:Prepare research, Trade fixed-income, Analyze macro
Requirements Summary:2-4 years in rates or credit portfolio management, trading, or research; bachelor’s in Finance/Economics; strong MS Office; Bloomberg; coding skills a plus; CFA asset.
Technical Tools Mentioned:Bloomberg, Microsoft Office, Programming
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Job Description

At Trisura, we expect more because we believe it can be done better.

 

We are a young, growth oriented team with a commitment to exceptional talent and have been named one of Canada’s Top Small and Medium Employers since 2017. Our growth and our entrepreneurial style, niche market position and development opportunities ensure that our people see the results of their commitment reflected in the company’s success.

We are currently seeking a qualified individual to join our dynamic, forward-thinking team of Investment professionals in our Toronto office. 

 

 

 

FIXED INCOME RESEARCH & TRADING - FULL-TIME

 

TORONTO

 

 

 

As an integral member of the team, you will bring

 

  • Experience with issuer/security diligence, analysis of financial statements/disclosure, financial modeling and valuation.
  • Experience or interest in asset allocation, portfolio management, trading and risk management.
  • Demonstrated ability to effectively manage multiple priorities.
  • Strong computer skills; including extensive experience with Microsoft Office and Bloomberg.
  • Excellent organizational, communication and interpersonal skills.
  • Proven ability to work within a team environment.
  • Proven ability to organize and complete work within tight deadlines.

 

 

Responsibilities

 

  • Prepare and communicate issuer/security research and analysis, conduct financial modeling, meet with corporate management teams.
  • Prepare and communicate macro/rates research and analysis.
  • Actively trade North American investment grade fixed income securities (C$ and US$).
  • Evaluate new fixed income trading strategies, asset classes and security types.
  • Assist in asset allocation and fixed income portfolio management decision-making.
  • Assist in trade settlement and delivery of fixed income portfolio-related reports for management.

 

 

Qualifications

 

  •  2 - 4 years of experience in rates or credit portfolio management, trading, sales, research.
  • Bachelor/BBA/BCom or related degree program with Finance or Economic concentration.
  • Experience with coding languages is an asset.
  • CFA degree is an asset

 

 

Salary

 

  • The expected salary in this position is within the range of $100,000 - $150,000

 

This salary range reflects the expected base compensation for the role across Canada. Actual compensation will be determined based on factors such as experience, qualifications, and scope of responsibilities. Trisura Group provides this range in good faith in accordance with applicable legislation.

 

This posting does not correspond to an existing vacancy but is part of our proactive recruitment efforts.  

We thank all candidates for their interest, however, only those selected for an interview will be contacted.

If you are looking for a career in an exciting and rewarding company, are driven to excel, thrive in a team environment and want to contribute to the success of an organization that values your contribution, we would like to hear from you!

We are committed to an inclusive and barrier-free workplace that reflects the diversity in each of our offices across Canada. Accommodations will be provided on request for candidates taking part in all aspects of our recruitment and selection process.

We thank all candidates for their interest however only those selected for an interview will be contacted.

Trisura, headquartered in the heart of Canada’s financial district, is a specialty lines insurer with a focus on Surety, Specialty Insurance, Property & Casualty, and Warranty products.
 
Trisura brings innovative solutions and expertise through a select network of both national and regional brokerage firms. 
 
The company, founded in 2006, and operating across North America with offices in Toronto, Ottawa, Halifax, Montréal, Calgary, Vancouver, Stamford. Denver, Chicago, Philadelphia and Oklahoma City, is uniquely positioned to satisfy all varieties of risk in Contract, Commercial and Developer Surety, Directors' and Officers' Liability, Fidelity, and Professional Liability including Media Liability, as well as Warranty products.