Senior Canadian Equities Analyst — Hybrid, High-Impact Research

Mackenzie Investments

Winnipeg

Hybrid

CAD 110,000 - 160,000

Full time

14 days+
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Benefits offered by this job

Competitive compensation & recognition
Employee benefits & insurance
Retirement savings programs
Work life balance
Inclusive culture and diversity

Job summary

Mackenzie Investments is seeking a Senior Investment Analyst to join the Canadian Equities team. You will develop differentiated investment theses, conduct bottom-up research and model outcomes to guide investment decisions.

The role emphasizes collaboration with portfolio managers, investment committees, and external stakeholders, with a hybrid work arrangement and strong focus on ESG factors.

Qualifications

  • Bachelor-level degree in Business, Engineering or Computer Science; MBA is an asset.
  • CFA charterholder or progress toward designation is a plus.
  • Experience with AI/ML tools to assist research and analysis.
  • Strong modelling and valuation capabilities (DCF, comps, SOTP).
  • Excellent written and verbal communication; ability to present investment theses clearly.

Responsibilities

  • Develop deep, differentiated investment theses for Canadian equities with rigorous fundamental analysis.
  • Collaborate with Portfolio Managers and Investment Committee to communicate buy/sell ideas and sizing.
  • Engage with company management, sell-side analysts, and industry contacts for on-ground insights.
  • Help broaden coverage with scalable research processes and integrate ESG considerations.

Skills

AI/ML for research
Financial modelling
Strong written/verbal communication
Initiative & accountability
Teamwork & collaboration
Bloomberg / FactSet proficiency

Education

Undergraduate degree (Business, Engineering or Computer Science)
MBA (asset)
CFA progress toward designation

Tools

Bloomberg
FactSet

Job description

Mackenzie Investments is seeking a Senior Investment Analyst to join the Canadian Equities team. You will develop differentiated investment theses, conduct bottom-up research and model outcomes to guide investment decisions.

The role emphasizes collaboration with portfolio managers, investment committees, and external stakeholders, with a hybrid work arrangement and strong focus on ESG factors.

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