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Analyst / Senior Analyst, Investment Risk
iA Financial Group (Industrial Alliance)Investment risk analyst developing asset-liability, market, credit, liquidity, and regulatory risk models for iA Financial Group. Supporting strategic decisions through risk reporting, analysis, and automation.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in investment risk processes, including the development and maintenance of risk models and reports. Proficient in Python programming and capable of contributing to strategic decision-making within a cross-functional team environment.
Highest-signal resume keywords
Investment Risk ProcessesRisk Management FrameworksPython ProgrammingFinancial Industry ExperienceBilingual Communication
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Investment Risk ModelsRisk ReportsRisk Metrics AnalysisAsset-Liability ManagementMarket RiskCredit RiskLiquidity RiskRegulatory RiskAutomation ToolsQuantitative Analysis
Soft Skills
Time ManagementSelf-StarterCross-Functional Collaboration
Industry Keywords
FinanceActuarial ScienceRisk ManagementInvestment PoliciesStrategic Projects
Tech Stack
Tools & technologiesPython
About the role
Key responsibilities & impact- Run and improve the efficiency of investment risk processes
- Maintain and develop investment risk models
- Design, specify, and support implementation of detailed risk reports and analysis consistent with investment and related policies
- Analyze risk metrics and provide insights to the team and partners
- Contribute to complex strategic projects, mandates, and activities
- Contribute to evaluating and implementing risk management frameworks
- Implement risk management processes based on industry best practices
- Contribute to the running, development, and maintenance of asset-liability, market, credit, liquidity, and regulatory investment risk models and reports
- Assist in building systems infrastructure to improve efficiency, automation, and insight-driven analysis
- Support business and management strategic decision-making
Requirements
What you’ll need- 1 to 3 years of experience in the financial industry in an investment, risk, or actuarial science role
- University degree in finance, actuarial science, or another related quantitative discipline
- Motivated self-starter comfortable building new tools and models
- Strong time management skills and ability to work under tight deadlines
- Strong programming skills in Python
- Ability to work on a cross-functional team
- Advanced level of French and English for daily communication across the organization
Benefits
Comp & perks- A work environment where learning and development merge with a collective pursuit of excellence
- A healthy, safe, fair, and inclusive environment
- Hybrid work environment supported by flexibility and access to inspiring and innovative workspaces
- Flexible group insurance
- Competitive pension plan
- Stock purchase plan
- Vacation and wellness/personal development days
- Telemedicine
- Employee and family assistance program
- Ergonomic furniture program
- Performance bonus
- Discounts on iA products