Senior Investment Analyst - Canadian Equities
Location:
Toronto, Winnipeg
Mackenzie Investments
IGM Financial Inc. is a leading wealth and asset management company in Canada, managing approximately $310 billion in assets as of December 31, 2025. It offers financial planning and investment services to over two million Canadians through IG Wealth Management and Mackenzie Investments.
Mackenzie Investments, founded in 1967, is a key part of IGM's business model, serving as a comprehensive asset-management partner for Canadian financial advisors and their clients.
At Mackenzie Investments You Can Build Your Career with Confidence. We are proud to be recognized as one of Canada’s Top 100 Employers for the fourth consecutive year and one of Canada’s Best Diversity Employers. Our vision and strategy aim to innovate the industry and support Canadians in achieving their financial goals.
Join our team to engage in continuous learning and skill development in a supportive environment. Experience the best of both worlds with our hybrid work environment, where you spend three days a week in the office, connecting, collaborating, and enjoying quality time with your amazing colleagues! Our Values:
Be better; we strive for improvement in everything we do. Be accountable; we foster clarity and are empowered to act responsibly. Be a team; we are united to drive collective impact to achieve our goals.
We are seeking a Senior Investment Analyst to join our Canadian Equities team with primary coverage responsibility for Canadian sector coverage. Coverage will be determined based on the alignment with your experience and the needs of the team.
This is a high-impact role for an analyst who brings genuine intellectual curiosity, strong fundamental research skills, and the drive to generate sustained alpha through differentiated insight. You will work closely with the portfolio management team, contributing directly to investment decisions across our Canadian equity mandates.
What You'll Do Research & Idea Generation- Develop and maintain deep, differentiated investment theses across an assigned coverage universe within the Canadian equity market.
- Conduct rigorous bottom-up fundamental analysis, including financial modelling, valuation work, and scenario analysis.
- Leverage a broad set of analytical tools, alternative data, and proprietary frameworks to enhance the depth and originality of your research.
- Identify and monitor key variant perceptions, catalysts, and risk factors across your coverage universe.
- Produce well-structured, clearly written investment notes and recommendations for presentation to the portfolio management team and investment committee.
- Partner closely with Portfolio Managers to communicate actionable buy, sell, and sizing recommendations with clear, well-reasoned conviction.
- Participate actively in investment committee discussions, contributing to debate on portfolio positioning and sector views.
- Support portfolio risk monitoring by tracking developments across holdings and providing timely updates on material changes.
- Build and maintain relationships with company management teams, sell-side analysts, and industry contacts.
- Attend industry conferences, company site visits, and earnings calls to develop on-the-ground perspective.
- Systematically broaden coverage through efficient research processes and scalable analytical frameworks.
- Contribute to the team's continuous improvement culture by sharing learnings, refining processes, and helping to raise the overall quality of research output.
- Integrate ESG factors and sustainability considerations into investment analysis in a manner consistent with the team's investment philosophy and client mandates.
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