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Manager, Sustainable Investing

Job in Toronto, Ontario, C6A, Canada
Listing for: OMERS / Oxford Properties Group
Full Time position
Listed on 2026-06-07
Job specializations:
  • Finance & Banking
    Financial Analyst, Risk Manager/Analyst, Corporate Finance
Salary/Wage Range or Industry Benchmark: 115000 - 165000 CAD Yearly CAD 115000.00 165000.00 YEAR
Job Description & How to Apply Below

Responsibilities

  • Contribute to the implementation of the Sustainable Investing (SI) Framework across the portfolio, such as OMERS Climate Action Plan, social roadmap, system‑level stewardship themes.
  • Conduct research and provide sustainability insights to support the team’s strategic priorities.
  • Monitor and synthesize global sustainable investing industry developments, regulatory developments, sustainability risks and opportunities across environmental and social topics, as well as related financial and pension industry trends, to inform OMERS positioning.
  • Participate in relevant collaborative industry initiatives and associations.
  • Prepare industry briefings, summaries, reports, presentations and recommendations on various topics related to sustainability for senior leaders.
  • Contribute to the development of internal and external sustainability‑related reporting including the OMERS website and annual report.
Qualifications
  • Investment acumen, with a strong understanding of investment processes, key priorities for investment teams, and how sustainability considerations vary by asset classes and influence decision‑making.
  • Strong communication, relationship management, and influencing capabilities, with the ability to partner effectively across teams, translate and convey complex topics into practical, business‑relevant insights for a diverse set of investment and business stakeholders internally and externally.
  • Demonstrated interest in sustainable investing, with the ability to conduct research, organize and present data creatively to draw insights across a range of sustainable investing topics, including stewardship and broader system‑level considerations.
  • Completion of a university degree(s) in Business, Finance, Economics, Engineering or other relevant areas.
  • A minimum of 6‑8 years of progressive experience in an investment organization or across the capital allocation life cycle at a financial institution or equivalent.
  • Commitment to and experience in sustainable investing and ESG subject matter expertise is an asset.
  • Proactive self‑starter who works both independently and with a team, while fostering a collegial team culture.
  • Proven ability to effectively work on and successfully deliver multiple projects simultaneously.
  • High proficiency in Microsoft PowerPoint and Excel.
  • Progress towards the CFA or CAIA designation is an asset.
Compensation and Benefits

The expected salary range for this position is $ - $ per year. You may also be eligible to receive an annual Incentive Award pursuant to our Short‑term Incentive plan and our Long‑Term Incentive plan (if applicable), and to participate in our group benefits and retirement plans.

Equal Opportunity Statement

We are an equal opportunity employer committed to an inclusive, barrier‑free recruitment and selection process that extends all the way through your employee experience.

This posting is for an existing vacancy.

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