Portfolio Manager, Domestic Finance

January 14 2025
Expected expiry date: February 3 2025
Industries Public administration
Categories Corporate finance, Treasury, Financial Information Systems, Financing, Investment, Merger & Acquisition, Investor relations, Management accounting, Management, Administration, Trading, Asset management
Remote
Victoria, BC • Full time

Ministry of Finance
Victoria (Hybrid)

Flexible work options are available; this position may be able to work from home a few days a week subject to an approved telework agreement.

Portfolio Manager, Domestic Finance
$105,900.12 - $140,800.04 annually

The Capital Markets Group is an established team of 8 skilled professionals, including a Director, Portfolio Managers, a Junior Portfolio Manager, a Portfolio Analyst, and a co-op employee. This team works closely with external market participants, including bank dealers, institutional investors, and regulators, as well as with internal counterparts to support funding for client entities across the government and its agencies. The team is known for its high level of expertise and its strong focus on capital markets activity.

The Portfolio Manager, Domestic Finance, plays a vital and dynamic role in shaping British Columbia’s borrowing strategies to ensure the province secures the lowest-cost, minimum-risk financing from domestic capital markets. As the primary contact for the domestic investment dealer community, this role requires expertise in market analysis, relationship-building, and executing multi-billion-dollar bond and note programs. This is an exciting opportunity to contribute to British Columbia's financial stability while fostering equitable and inclusive partnerships with key stakeholders in the domestic market.

Qualifications for this role include:

  • Degree in commerce, business administration, economics, or a related.  An equivalent combination of related education and experience may be considered.  
  • Minimum four (4) years recent (within in the last five (5) years) experience working in a Capital Markets industry environment.
  • Minimum four (4) years recent (within in the last five (5) years) experience developing and maintaining professional relationships with industry stakeholders.

Preference may be given to applicants with:

  • Completed additional related coursework and/or designations including Canadian Securities Institute designations (e.g. Canadian Securities Course) and Chartered Financial Analyst designation.
  • Experience working in Canadian bond markets, money markets, derivatives markets and in public primary (securities new issuance) markets. 

For more information and to apply online by February 3, 2025, please go to: https://bcpublicservice.hua.hrsmart.com/hr/ats/Posting/view/118768

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