Senior Canadian Equity Analyst – Buy-Side Research & Modeling

Connor, Clark & Lunn Investment Management (CC&L)

Vancouver

Vor Ort

CAD 90.000 - 200.000

Vollzeit

14 Tage+
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Zusammenfassung

Connor, Clark & Lunn Investment Management in Vancouver seeks a Senior Buy Side Equity Analyst to join our Fundamental Canadian Equity Team. You will work closely with the Portfolio Managers on security selection and portfolio construction.

The team manages over $18 billion in fundamental Canadian equity mandates. This role offers exposure to research, financial modeling, and presenting stock recommendations to Portfolio Managers, with a base salary range of $90,000 to $200,000 plus a

Qualifikationen

  • 3 to 7 years of equity analyst experience.
  • Collaborative and team-oriented.
  • Strong ability to understand financial statements.
  • Strong analytical skills.
  • Ability to condense large data into succinct written and verbal communications.
  • Comfortable expressing opinions and making decisions.
  • Growth mindset and resilience.

Aufgaben

  • Research companies and make investment decisions for Canadian equity portfolios.
  • Provide research and analysis of Canadian equities.
  • Consolidate and analyze information from financial statements, industry conferences and company presentations, analysts, and management teams.
  • Build and maintain financial models.
  • Present stock recommendations to the Portfolio Managers.

Kenntnisse

Analytical skills
Financial statement analysis
Data synthesis
Written & verbal communication
Teamwork
Decision making
Growth mindset

Ausbildung

Undergraduate degree in finance
CFA designation preferred

Jobbeschreibung

Connor, Clark & Lunn Investment Management in Vancouver seeks a Senior Buy Side Equity Analyst to join our Fundamental Canadian Equity Team. You will work closely with the Portfolio Managers on security selection and portfolio construction.

The team manages over $18 billion in fundamental Canadian equity mandates. This role offers exposure to research, financial modeling, and presenting stock recommendations to Portfolio Managers, with a base salary range of $90,000 to $200,000 plus a

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