Managing Director, Investment Grade Private Debt
Listed on 2026-07-22
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Capital Markets, VP/Director of Finance
About Us:
With $313.7 billion of gross assets under management, as of March 31, 2026, British Columbia Investment Management Corporation (BCI) is the provider of investment management services for British Columbia’s public sector and one of the largest asset managers in Canada. BCI seeks investment opportunities around the world and across a range of asset classes that convert savings into productive capital. Our investment returns play a significant role in helping our institutional clients build a financially secure future for their beneficiaries.
Headquartered in Victoria, British Columbia, and with teams spanning Vancouver, New York, London, and Mumbai.
BCI integrates environmental, social, and governance (ESG) factors into all investment decisions to meet clients' risk and return requirements. Our people shape employee-focused initiatives, creating a strong culture. To learn more about our culture and values, visit our page.
Posting closing date:
July 29, 2026
A unique and impactful opportunity that ties in with BCI’s recently launched (July
2) Investment Grade Private Credit Fund, the fund opens with $1.8 billion in direct co-investment commitments and a deployment target of $13 billion over three years.
THE OPPORTUNITY
Reporting to the Senior Managing Director, Private Debt, the Managing Director is responsible for delivering consistent long-term value-added by developing and deploying active investment processes and strategies in private credit asset classes.
The Managing Director lead efforts in evaluating, negotiating and managing external partnerships. Further, as internal investments will constitute the majority of the fund’s AUM, the ability to source, assess and execute co-investments will be a critical function of the position. The mandate anticipates global sourcing with most investments expected in the US and Europe.
DEPARTMENT DESCRIPTION
The Capital Markets & Credit Investments (CM&CI) department manages C $165B of capital markets and credit investments (56% of total net AUM of BCI). The department invests globally across Credit, Equities, Fixed Income, Derivatives, and Absolute Return Strategies, with investment teams located in BCI's global offices in Victoria, Vancouver, New York, and London. As a leader in responsible investing, CM&CI actively integrates ESG factors into investment analysis and decision-making processes across all strategies.
WHAT YOU BRING
Must have:
20+ years experience in the investment industry, preferably with an institutional investment organization
Experience with corporate lending and/or asset-backed investing
Strong fundamental financial analysis skillset
Ability to work and excel in a team environment
Ability to mentor or supervise junior employees
Ability to hire appropriate employees to execute the program
Excellent communication skills, both written and verbal
Effective decision making and negotiation skills
Ability to stay calm under pressure
Excellent attention to detail
Ability to thrive in a dynamic work environment with evolving mandates
PRIMARY RESPONSIBILITIES
Execute on the business plan
Oversee relationship management with strategic partners
Communicate with clients on program progress
Collaborates on investment opportunities and key information within teams in Capital Markets & Credit Investments and across BCI
Investment Analysis and Execution
Directs overall strategy for the program
Serves as the primary point of contact with external partners
Identifies and evaluates co-investment or direct lending opportunities
Synthesizes findings, key analysis and supporting documents in an organized and documented manner
Leads a deal team, supporting the diligence of commercial, financial, tax, legal and ESG aspects of prospective investments
Attracts, hires and develops talent to support the growth of the fund
Portfolio Monitoring and Oversight
Monitors assigned investments identifying relevant opportunities and risks including: tracking/evaluating performance metrics, ongoing review against original investment thesis, ongoing strategic fit, significant changes impacting the company, valuation issues and industry developments
Systematically develops objective and rigorous…
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