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Sun Life Financial, Inc.

Associate, Portfolio Strategy & Analytics (Contract) - SLC Management

Posted 3 Days Ago
Be an Early Applicant
In-Office
Toronto, ON, CAN
Junior
In-Office
Toronto, ON, CAN
Junior
Support portfolio construction, asset allocation, and tactical investment analysis for insurance and surplus portfolios. Produce executive-ready analytics and reporting, evaluate risk/return trade-offs, contribute to affiliate and alternative asset strategy, and drive process automation. Partner with investment, ALM, finance, risk, and treasury teams to inform strategy, forecasting, and governance.
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SLC Management is a growing global asset management firm providing innovative and diversified investment solutions to institutional investors. We are breaking new ground with a full spectrum of solutions for a growing institutional client base of more than 1400 organizations. Our history of organic and strategic growth reflects this commitment with over CA$422/US$304 billion in assets under management (AUM). As a subsidiary of Sun Life, we are aligned with one of the world’s leading financial services companies, and benefit from the stability and strength of that relationship.  

We are a performance-driven organization with a deliberate focus on fostering a development-focused, inclusive culture revolving around our Core Values of being client obsessed, valuing each other, acting with speed and having an owner’s mindset.  As part of our team, you play a role in fulfilling our purpose and making a difference. We offer a rewarding work environment that is filled with opportunity for growth where you will be empowered to meet the challenges of a highly competitive landscape.

Visit our website to learn more and for the most up to date AUM information.

SLC Management offers a mix of in-office and virtual work where our employees are empowered to do their best. Generally, employees are expected to work three or more days in-office each week with flexibility depending on their business, client and team needs.

Job Description:

Associate, Portfolio Strategy & Analytics (Contract) - SLC Management

What is in it for you:

This is a temporary full-time 15-month contract position.

As part of the Portfolio Strategy & Analytics team, the Associate is a strategic investment role positioned at the intersection of portfolio construction, asset allocation, and executive-facing analytics, with a focus on insurance and surplus portfolios. They will partner closely with investment, ALM, finance, risk, and treasury teams to analyze portfolio performance, evaluate risk/return trade-offs, and deliver data-driven insights that inform investment strategy and tactical asset allocation decisions. The role is responsible for translating complex portfolio and market analysis into clear, actionable recommendations and executive-ready reporting, helping senior stakeholders optimize portfolio positioning across dimensions such as liquidity, duration, and capital. This is an opportunity to work analytical and collaboratively, connecting data to decision-making and influencing outcomes across a sophisticated investment platform.
What you will do:

  • Strategic Asset Allocation and Investment Strategy:
    • Support enterprise-wide investment strategy and optimization framework tailored to insurance balance sheets, incorporating Sun Life–specific constraints including capital, ALM, Accounting (IFRS), liquidity, and regulatory requirements across geographies.
    • Contribute to establishing and maintaining consistent risk/return assumptions, correlations, and capital efficiency parameters used in investment strategy reviews, adhering to methodological consistency and governance globally.
    • Partner with various teams to align portfolio construction with liability characteristics, surplus objectives, and enterprise risk appetite.
  • Affiliate & Alternative Asset Strategy Oversight
    • Assist in assessment, allocation and implementation of new affiliate‑managed alternative strategies (Crescent, BentallGreenOak, InfraRed) within the Sun Life General Account.
    • Collaborate on strategic initiatives to drive synergies between Asset Management and Insurance, ensuring deployment in structures that optimize capital and risk considerations.
    • Support in developing and maintaining tracking and performance analytics that link investment results to client outcomes.
  • Tactical Asset Allocation & Investment Idea Generation:
    • Support construction of tactical allocation views via analysis and research, taking into consideration macro, valuation and relative value dynamics.
    • Contribute to establishing and maintaining tools for monitoring market environment and commentary, translating quantitative and qualitative sources into insight feeds.
    • Assist in engagement with various portfolio management and front-office teams to drive collaborative approach to discussion and implementation of investment ideas.
  • Analytics, Reporting & Governance
    • Prepare high-quality analytics and reporting for senior management, Office of the CIO reviews, and governance forums.
    • Support annual business planning and forecasting processes by providing portfolio insights and investment earnings inputs.
    • Drive process improvement and automation efficiencies to enhance value-added reporting.
  • Collaboration & Execution
    • Work alongside the senior members of the team to coordinate initiatives and ad-hoc projects, ensuring consistent execution across stakeholders.
    • Partner with internal teams across Asset Management and Insurance to deliver cross-enterprise projects.
    • Cultivate strong relationships across functional areas to drive collaboration and alignment.
       

What you need to succeed:

  • Bachelor’s degree with a focus in business, finance, economics or related disciplines.
  • 2+ years of investments related experience preferred.
  • Proficiency in Excel required, familiarity with financial tools/software a plus.
  • Strong understanding of modern portfolio theory, asset pricing, and portfolio construction, with broad knowledge across asset classes.
  • Proven analytical and problem-solving skills with high attention to detail.
  • Effective communication skills, with ability to translate complex concepts and analysis into clear insights.
  • Proactive and collaborative approach, adaptable to emerging needs, with ability to work across teams and functions.

Why SLC Management?

  • Opportunity to work for a growing global institutional asset manager
  • Excellent benefits and wellness programs to support the three pillars of your well-being – mental, physical and financial – including generous vacation and sick time, market-leading maternity, parental and adoption leave top up program, a partially-paid sabbatical program and much more
  • Pension, stock and savings programs with an employer-paid match to help build and enhance your future financial security
  • A flexible work environment with a friendly, caring, collaborative and inclusive culture focused on career growth development #WeWinAsATeam
  • The opportunity to move along a variety of career paths with amazing networking potential
  • Award winning workplace culture - Great Place to Work® Certified in Canada and the U.S., “Best Places to Work” by Glassdoor, Award for Excellence for Mental Health at Work, “Best Places to Work in Money Management” by Pension & Investments

SLC Management is a regulated business, and this means that there are certain financial reporting and trading preclearance requirements for all employees. Successful candidates will be required to declare personal investment accounts and securities investments as well as seek preclearance on future transactions including those of household members.

Job Category:

Asset Management

Salary Range

68,500/68 500 - 104,250/104 250

We are committed to pay transparency and equity. The base salary range for this role is competitive and we strive to ensure that compensation is fair and equitable. Your actual base salary will be determined by your unique skills, qualifications, experience, education, and geographic location. In addition to base salary, this position is eligible for a discretionary annual incentive award based on individual and overall business performance along with a broad range of competitive benefits.

We are committed to fostering an inclusive environment where all employees feel they belong, are supported and empowered to thrive. We are dedicated to building teams with varied experiences, backgrounds perspectives and ideas that benefit our colleagues, clients, and the communities where we operate. We encourage applications from qualified individuals from all backgrounds.

We may use artificial intelligence to support candidate sourcing, screening, interview scheduling.

We will make reasonable accommodations to known physical or mental limitations. Persons with disabilities who need accommodation in the application process or those needing job postings in an alternative format may e-mail a request to [email protected].

We thank all applicants for showing an interest in this position. Only those selected for an interview will be contacted.

HQ

Sun Life Financial, Inc. Toronto, Ontario, CAN Office

150 King Street West, Toronto, Ontario, Canada, M5H 1J9

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