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iA Financial Group (Industrial Alliance)

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.

Posted 8/4/2026full-timeQuebec City • 🇨🇦 CanadaSenior💰 CA$65,000 - CA$90,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

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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

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Applicant Tracking System Keywords

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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 & technologies
Python

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