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Senior Portfolio Manager

Job in Victoria, BC, Canada
Listing for: Alitis Investment Counsel Inc.
Full Time position
Listed on 2026-08-29
Job specializations:
  • Finance & Banking
    Portfolio & Asset Management
Salary/Wage Range or Industry Benchmark: 130000 - 210000 CAD Yearly CAD 130000.00 210000.00 YEAR
Job Description & How to Apply Below
  • Lead PM Roles: AGP (Alitis Growth Pool), ADGP (Alitis Dividend Growth Fund), ASIP (Alitis Strategic Income Pool); AIGP (Alitis Income & Growth Pool equity & fixed income co-contributor)
  • Primary Domain: Public Equities (individual securities, ETFs, mutual funds) and Fixed Income (government, investment grade, high yield, private credit, income-oriented alternatives);
    Alternative Investments (Private Equity, Private Credit, Liquid Alternatives);
    Asset Allocation support
  • Ability to commute/relocate:Victoria, BC V8S 1Z5: reliably commute or plan to relocate before starting work (preferred)
Role Purpose

The Senior Portfolio Manager owns the construction, management, and stewardship of the firm’s equity and fixed income pooled strategies. Working under the direction of the CIO and as a voting member of the Investment Committee, this role applies the firm’s investment philosophy with discipline and consistency across both asset classes — from research and portfolio construction through trading and ongoing risk management.

Beyond direct portfolio management, the Senior Portfolio Manager oversees the Fixed Income Analyst and serves as an investment resource to the Private Client Portfolio
Managers, supporting and training them on the firm’s pooled strategies to ensure consistent, well-informed implementation across client relationships.

  • Investment Committee Membership
    Serve as a full voting member of the Investment Committee. Attend and actively contribute to weekly, monthly, and quarterly IC meetings; lead the preparation and
    delivery of equity and fixed income content; present positioning, outlook, and performance at monthly Advisor IC presentations; and contribute to cross-asset
    decision-making through equity, interest rate, credit, and liquidity perspectives.
  • Equity Portfolio Management
    Own the design, construction, and ongoing management of the AGP and ADGP, and manage the equity contribution to the AIGP in coordination with the CIO. Set and
    maintain strategic and tactical equity positioning across sectors, geographies, and styles, and maintain the firm’s internal equity model, recommending enhancements
    as appropriate.
  • Fixed Income Portfolio Management
    Own the design, implementation, monitoring, and evolution of the ASIP, and manage the fixed income contribution to the AIGP in coordination with the CIO. Set
    and maintain positioning across cash, government bonds, investment grade, high yield, private credit, and income-oriented alternatives, managing duration, term
    structure, and liquidity within mandate constraints.
  • Investment Research, Due Diligence & KYP
    Lead research across the approved equity and fixed income coverage universe. Conduct initial and ongoing KYP reviews for all holdings; monitor issuer, credit, and
    structural developments; review MD&A, financial statements, and earnings releases on a quarterly basis; and conduct manager calls and fund reviews for externally
    managed positions. Identify and evaluate new investment opportunities and present recommendations to the IC.
  • Asset Allocation & Macro Analysis
    Contribute to SAA and TAA framework development in collaboration with the CIO. Continuously assess macroeconomic conditions, central bank policy, yield-curve
    dynamics, and credit spreads, translating these views into actionable positioning. Frame tactical (3–12 month) and strategic (3–5 year) forward-looking risk/return
    expectations across equity, fixed income, and credit asset classes.
  • Trading & Execution
    Manage trading and execution for the AGP, ADGP, ASIP, and the equity and fixed income components of the AIGP. Maintain trading models and rebalancing
    protocols, ensure execution quality, manage secondary-market execution for public fixed income, and administer settlement for private credit transactions.
  • Risk Management & Mandate Compliance
    Maintain risk controls, concentration limits, and liquidity requirements across all mandates. Monitor portfolio performance, risk exposure, and asset allocation on an
    ongoing basis, ensuring portfolios remain within mandate and consistent with the firm’s standards.
  • Team Leadership
    Oversee and develop the Fixed Income Analyst, providing direction, review, and mentorship.
  • PM Team…
Position Requirements
10+ Years work experience
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