New Grad Analyst, Investment Management Rotational Program; Fundamental and Quantitative
CLOSING DATE:
October 7, 2026
Opportunity
Opportunity
Are you ready to kickstart your career with hands-on experience at a global multi-asset class institutional investment manager? If you're passionate about financial markets or economics and want to make a meaningful impact in your community, AIMCo's rotational program is the perfect opportunity for you.
We are accepting recent or upcoming new graduates into the 18-month rotational program with a start date in May 2027. Throughout the term, you'll rotate through three asset classes and get the opportunity to work on special projects, while gaining valuable experience within the Investment Management space. You'll get a chance to complete three 6-month rotations and gain a unique perspective and deep understanding of our Investment Management function, which is comprised of the following asset classes:
Public Equities, Fixed Income, Private Debt & Loan, Mortgages, Infrastructure & Renewable Resources, Real Estate, Private Equity, and Multi-Asset Portfolio Management.
We are looking for several individuals to join in either fundamental investment focused or quantitative focused roles. Successful candidate will be intellectually curious, adaptable, and collaborative individuals who are eager to learn and contribute in a fast-paced environment. At AIMCo, you'll work alongside experienced investment professionals while developing technical, analytical, and communication skills that will accelerate your career.
This opportunity is open to candidates who are willing to relocate to Calgary, Alberta, and we encourage all interested individuals to apply!
What You' ll Do:Daily tasks and projects will differ from team to team but overall, the New Grad Analyst can expect to be involved in:
Fundamental Focused:- Evaluate and support the execution of investment opportunities across public and private markets, including direct, co-investment, and fund investments.
- Conduct research and analysis on companies, industries, funds, and market trends to inform investment decisions.
- Build financial models, valuations, and investment underwriting analyses.
- Assess opportunities through financial statement analysis, market research, and due diligence on business models, competitive positioning, management teams, risks, and value creation potential.
- Prepare investment research reports and present recommendations to the investment team.
- Monitor portfolio holdings, market developments, and emerging investment opportunities and risks.
- Collaborate with investment teams on idea generation, transaction execution, portfolio management, and asset monitoring.
- Leverage investment research platforms (e.g., Bloomberg, Fact Set, Capital IQ) and AI-enabled tools to enhance research, analysis, reporting, and operational efficiency .
- Demonstrate proficiency in AI-assisted analytical workflows and maintain awareness of emerging technologies relevant to investment management.
- Develop and enhance analytical tools, automated workflows, and investment data infrastructure.
- Build and improve fi nancial models , quantitativ e models, databases, and analytical frameworks to support investment decision-making.
- Conduct quantitative research and data analysis across markets, asset classes, and risk factors to generate investment insights.
- Support portfolio managers and traders with risk analytics, performance attribution, portfolio construction, and investment recommendations.
- Backtest investment strategies and monitor model performance.
- Evaluate and implement new technologies , data sources, and analytical techniques.
- Collaborate with investment teams on research, portfolio management, and investment projects.
- Prepare presentations, reports, and data visualizations to communicate research findings and recommendations.
- Leverage AI-enabled tools and emerging technologies to enhance research, analytics, reporting, and operational efficiency.
- Recent undergraduate or master's graduate in Business, Finance, Economics, Accounting, or a related field (completed within the last 12 months).
- Previous internship or work experience in investment banking, private equity, asset management, or a related field.
- Solid understanding of valuation and investment analysis techniques, including discounted cash flow (DCF), leveraged buyout (LBO), and other relevant methodologies.
- Proficiency in financial modeling and the ability to translate quantitative and qualitative information into investment…
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