Who We Are
Fiera Capital is a global independent asset manager with an entrepreneurial culture and a clear vision: to deliver disciplined, high-conviction investment solutions that create lasting value for our clients. From our Canadian roots to a global firm, we are defined by deep investment expertise, an ownership mindset, and enduring client partnerships.
Our actions are guided by our core values: we lead with integrity, think critically, act decisively, innovate with purpose, collaborate with intent, and adapt with agility.
We are committed to building a purpose-driven, performance-oriented culture where our employees are supported to grow, contribute, and excel.
What we are looking for:
Under the supervision of the Manager of Portfolio Administration, the candidate will provide efficient support service to the client service team, traders, and portfolio managers across Fiera Capital’s mandates. The candidate will update various systems used at Fiera Capital and will consistently manage relationships with various internal and external partners, to handle all reconciliation and cash management issues through to resolution.
Your responsibilities:
- Calculate and communicate daily cash (including foreign currencies) balances available for investment to portfolio managers and traders
- Daily reconciliation of cash, transactions and positions with custodians and other counterparties
- Collaborate with external counterparties and internal teams to investigate and quickly resolve discrepancies
- Ensure that transactions are entered into the portfolio accounting system on time and reconciled accurately
- Ensure the accuracy and quality of information in the systems
- Prepare reconciliation and other ad hoc reports
- Provide exceptional service when interacting with internal and external contacts
- Support internal and external auditors as required
- Participate in the testing and implementation of operational improvements and special projects
- Assist with ensuring service providers meet service level agreements (SLA) and ensure good governance
Must have requirements to be successful in this role:
- Minimum 1-3 years of relevant work experience in portfolio administration and reconciliation, or other applicable portfolio operations functions
- Bachelor’s degree in Accounting, Finance, Economics, or a related field is preferred, with consideration given to a combination of academic and relevant practical experience.
- Completion or pursuit of professional certifications, such as the Canadian Securities Course or CFA, is an asset
- Understanding how investment managers operate and interact with administrators, brokers and custodians is essential
- Strong working knowledge of global markets, money market instruments, equities, bonds, and cash management principles
- Demonstrated analytical thinking and experience solving business problems
- A spirit of continuous process improvement and a positive team attitude
- Effective communication skills (verbal and written)
- Attention to detail, intuitive and anticipatory
- Ability to meet challenges and work under pressure
- Bilingualism (English and French) is an asset
Additional Information:
- Fiera Capital adheres to a hybrid working environment with 4 days in-office per week.
#LI-Hybrid
What we offer:
At Fiera Capital, we believe in investing in our people. Here are some of the benefits you can enjoy:
- Wellness Account to support your physical, mental, and financial well-being.
- Learning & Development support through reimbursement of eligible certifications and professional development programs.
- Employee Share Purchase Plan (ESPP) with employer matching to help you build long-term financial value.
- Performance-Based Rewards through competitive bonus and commission opportunities.
- Telemedicine Access for convenient healthcare and mental health support.
- Summer Schedule Program offering additional flexibility, including reduced Friday hours during the summer month
For roles based in Quebec (Montreal and Laval), proficiency in spoken and written French is required. A working knowledge of English is also necessary to collaborate with our global teams and clients.
At Fiera Capital, we believe our people are our greatest strength. We are committed to fostering an inclusive and equitable workplace where everyone can grow, contribute, and reach their full potential. We are proud to be an equal opportunity employer and welcome applications from candidates of all backgrounds. We do not tolerate any form of discrimination or harassment.
All employment decisions, including hiring and promotions, are based on merit, skills, performance, and business needs. Accommodations are available upon request throughout the recruitment process.
To protect your information, please note that Fiera Capital uses a secure platform to collect sensitive information during the hiring process.
We thank all applicants for their interest; however, only those selected for an interview will be contacted.
Skills Required
- Minimum 1–3 years of relevant work experience in portfolio administration, reconciliation, or applicable portfolio operations functions
- Bachelor’s degree in Accounting, Finance, Economics, or a related field, or an equivalent combination of academic and relevant practical experience
- Understanding of how investment managers interact with administrators, brokers, and custodians
- Strong working knowledge of global markets, money market instruments, equities, bonds, and cash management principles
- Demonstrated analytical thinking and business problem-solving experience
- Effective verbal and written communication skills
- Strong attention to detail and anticipatory judgment
- Ability to meet challenges and work under pressure
- Completion or pursuit of professional certifications such as the Canadian Securities Course or CFA
- Bilingualism in English and French
What We Do
Fiera Capital is a leading independent asset management firm with a growing global presence and approximately CAD 174.5 (USD 139.7) billion in assets under management as of March 31, 2022. The Company delivers customized and multi-asset solutions across public and private market asset classes to institutional, financial intermediary and private wealth clients across North America, Europe and key markets in Asia. Fiera Capital's depth of expertise, diversified investment platform and commitment to delivering outstanding service are core to our mission of being at the forefront of investment management science to create sustainable wealth for clients. Fiera Capital trades under the ticker FSZ on the Toronto Stock Exchange. Headquartered in Montreal, Fiera Capital, with its affiliates in various jurisdictions, has offices in over a dozen cities around the world, including New York (U.S.), London (UK), and Hong Kong (SAR). Fiera Capital Corporation does not provide investment advisory services, or offer investment funds, in the United States or to U.S. persons. In the U.S., asset management services are provided by the Firm’s U.S. affiliates, including Fiera Capital’s U.S. division, Fiera Capital Inc., which is registered with the U.S. Securities and Exchange Commission (SEC). Registration with the SEC does not imply a certain level of skill or training. Additional information about Fiera Capital Corporation, including the Firm's annual information form, is available on SEDAR at www.sedar.com. Additional information about Fiera Capital’s U.S. division is available in its annual Form ADV at www.sec.gov/iard. For important disclosures related to Fiera Capital, please visit: www.fieracapital.com/en/legal-notice For important disclosures related to Fiera Capital’s US division, please visit: us.fieracapital.com/important-disclosures/#goto-social-media-disclosures


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