Associate Portfolio Manager, Credit Investments
Actively hiringToronto, OntarioFull-timeMid-Senior level
Posted 2 months ago
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We are seeking an investment professional to join a credit team focused on generating differentiated returns while managing downside risk. This is a hands-on role for someone who wants direct responsibility for ideas, positions, and portfolio outcomes rather than a support function. The successful candidate will help evaluate opportunities, form investment views, and contribute to capital allocation decisions in a fast-moving environment.
The role involves building and defending credit recommendations across public debt markets, including higher-yield and special situations opportunities. You will assess issuers using fundamental analysis, examine capital structures and covenant protection, and consider recovery outcomes under different scenarios. A strong understanding of liquidity, default risk, and stress cases is important, along with the ability to translate macro and sector developments into actionable portfolio views.
You will also work closely with modern research and modelling tools to accelerate screening and analysis, while applying independent judgment to confirm or challenge the output. In addition, the role includes monitoring existing positions, identifying new ideas, maintaining issuer relationships, and contributing to entry, exit, and sizing decisions.
The salary range for this position is $135,000 to $165,000.
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