Associate, Markets & Liquidity

Posted 12 Days Ago
Be an Early Applicant
2 Locations
In-Office
110K-130K Annually
Mid level
Angel or VC Firm • Financial Services
The Role
Supports derivatives lifecycle management, daily valuations, margin calls, collateral funding, FX hedging, securities lending, settlement instructions, regulatory reporting, and counterparty dispute resolution. The Associate monitors collateral and lending activity, optimizes funding and returns, coordinates recalls and trade processing, and applies AI, automation, model analysis, and process improvements across investment operations while maintaining compliance and internal controls.
Summary Generated by Built In

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 BCI Values in Action page.


POSTING CLOSE DATE: October 11, 2026

A unique and impactful opportunity to join our growing Investment Operations team in Vancouver or Victoria. This is an exciting opportunity to work with and grow your career with a best-in-class investment operations platform at one of Canada’s largest asset managers!

THE OPPORTUNITY

Reporting to the Director, Markets and Liquidity, the Associate supports BCI’s exchange-traded and OTC derivatives book across all asset classes and clients, spanning trade capture and confirmation through lifecycle management, settlement, and regulatory reporting. The role is also responsible for managing the daily FX netting and hedging program, maintaining strategies within pre-defined hedging ratios and netting FX spot transactions to reduce costs; directing collateral funding decisions to meet daily variation and initial margin obligations with BCI counterparties; and providing day-to-day oversight of BCI’s securities lending program, optimizing security selection and utilization to maximize revenue. 

The Associate communicates with a variety of stakeholders, including resolving valuation and margin disputes with external counterparties, coordinating with BCI’s custodian and agent lender, and monitoring the performance of BCI’s securities lending program. They are a strong role model for their colleagues, with a solutions-oriented mindset and focus on continuous improvement initiatives. They are comfortable adjusting their communication style to a variety of stakeholders they work with and proactively share information, while seeking different ideas when developing solutions.

DEPARTMENT DESCRIPTION

Investment Operations (IO) delivers institutional-grade capability across cash management, derivatives and collateral, foreign exchange, trade settlement, corporate actions, and custodian oversight. Partnering with BCI's investment teams to design and execute end-to-end solutions that translate investment strategy into operational reality. The department manages this capability entirely in-house, supported by internally built quantitative models, AI-powered liquidity tools, and automated workflows that operate at the forefront of the industry. The department is organised into three branches: Investment Services and Settlements; Markets and Liquidity; and Financial Engineering.  

WHAT YOU BRING

Must have:

  • Relevant university degree or diploma (emphasis on Business, Economics, Finance, or related field).

  • Professional designation (e.g., CFA, FRM, CA, CPA, MBA, CAIA) or industry accreditation is an asset.

  • 3-5 years of progressive, related experience (preferably with a large asset management, investment firm, or banking institution). An equivalent combination of training, education and experience will be considered.

  • Good understanding of agency securities lending programs, including the loan lifecycle, recalls, borrower counterparty limits, collateral reinvestment, and agent lender oversight. 

  • Competent understanding of global capital markets, financial instruments, data management, accounting principles, unitized pool transactions, corporate actions and global payment and settlement mechanisms with ability to comfortably step into different roles when required.

  • Sound understanding of regulatory reporting, Uncleared Margin Rules (UMR), requirements for calculating IM requirements, applying SIMM methodology, as well as techniques to optimize collateral management.

  • Experience in FX hedge management, derivative valuations, the use of the quantitative valuation models and derivative analytics, investments, and funding decisions (e.g., derivative models, Bloomberg AIM, ICE Data Services, TriResolve, MarkitWire, Acadiasoft, RStudio, Python, VBA, SQL). 

  • Ability to evaluate the potential consequences/implications of different options and gather/validate new information and concepts when solving problems.

  • Experience applying AI models, agentic workflows, and automation tools to streamline operational processes and enhance decision making is an asset. 

WHAT YOU GET TO DO
  • Completes daily valuations, and Profit and Loss optimization of lifecycle events for listed and over-the-counter (OTC) derivatives across Equity, Fixed Income, FX, and Credit, including reset management and generating reset income, fixings, expiries, triggers, and corporate action elections. 

  • Sets up and confirms new OTC derivatives trades, performs amendments (fixings, cash flow schedules), and approves OTC derivatives trades in the derivatives execution order management system.

  • Supports derivatives regulatory reporting obligations by validating trade repository submissions and identifying and resolving reporting breaks within required deadlines.

  • Executes BCI asset allocation movements and applies business judgment to meet allocation targets.

  • Calculates, issues, and confirms daily variation and initial margin calls; monitors counterparty exposures and resolves valuation and initial margin disputes by reviewing Equity, Interest Rate, and FX risk sensitivity data, maintaining the dispute log and escalating aged items.

  • Makes collateral funding decisions for variation and initial margin movements by applying cheapest-to-deliver analysis across eligibility schedules, haircuts, and opportunity cost to minimize funding costs and increase securities lending revenue as defined in internal directives and frameworks.

  • Manages FX hedge rolls within predetermined hedging ratios by entering FX hedge trades while mitigating roll and concentration risk to optimize FX returns following BCI’s internal directive, and nets FX spot trades to reduce costs.

  • Maintains a real-time view of available collateral inventory across systems, the custodian, and clearing accounts, and liaises directly with the custodian and counterparties to process collateral movements within the specified deadlines.

  • Monitors the agency securities lending program, reviews daily loan activity and utilization rates, and escalates exceptions to support optimized collateral funding and increased returns for clients while mitigating risk.

  • Coordinates securities lending recalls to ensure loaned securities are returned in time for sales, corporate actions, and proxy voting requirements.

  • Leverages AI models and agentic automation, in partnership with Financial Engineering, to streamline workflows across derivatives lifecycle management, margin call processing, and securities lending monitoring, and to enhance the quality and speed of collateral and lending decision making.

  • Provides settlement activity instructions to internal business units: Trade Management, Cash Operations, and Investment Accounting.

  • Ensures all processes meet the minimum audit and internal control framework and actively adhere to compliance and risk management policies.

  • Optimizes branch workflows through a process improvement and automation mindset, identifying a wide range of opportunities, underlying issues, and solutions; prepares periodic reports and performs analysis and back testing of models and market data for the implementation of new strategies.

WHERE YOU WILL WORK  

This role will be based in our Vancouver or Victoria office. 

SALARY RANGE  

The annualized base salary range for this Vancouver or Victoria-based role is CAD $110,000 - $130,000.

BCI offers a competitive total rewards package, including a performance-based incentive plan, comprehensive health & dental benefits, a defined benefit pension plan, and paid time off. We pay our people competitively in the markets in which we operate and with consideration for internal equity and job structure. The base salary will consider factors such as the individual's skill set, experience, and internal equity. We aim for actual pay to be around the market median for expected performance and the upper quartile for excellent performance. Actual salaries may vary based on experience and expertise.

Next Steps:

To apply online, please submit your resume promptly. Applications will be actively reviewed, and those selected for an interview will be contacted. We welcome all qualified candidates who are legally authorized to work in the country where this job is located. If you do not have authorization, or if your work permit has restrictions or is due to expire within 12 months, please inform our recruitment team if shortlisted.

At BCI, we value diversity and foster an inclusive culture where all employees can thrive. We are performance and client-focused, valuing integrity, and we want to know you if you share these values. We recognize that some skills can be learned on the job and encourage everyone to apply. If you require accommodations for the recruitment process, such as alternate formats of materials or accessible meeting rooms, please contact us at [email protected].

To learn more about working with BCI, including our comprehensive benefits packages, our commitment to equity, diversity and inclusion and the recruitment process visit our BCI Careers Page.

BCI does not accept unsolicited resumes or candidate submissions from third-party recruitment agencies, executive search firms, or staffing suppliers unless they have an existing contractual agreement with our organization. Our approved vendor relationships are established for particular recruitment requirements and do not extend to general job postings on our website or other platforms. Any candidate information or resumes submitted by suppliers not approved by BCI will be deemed unsolicited and will not be reviewed or considered. BCI will not be liable for any fees, commissions, or charges related to unsolicited candidate submissions or recruitment services.

Skills Required

  • Relevant university degree or diploma in Business, Economics, Finance, or a related field
  • 3-5 years of progressive, related experience, preferably with a large asset manager, investment firm, or banking institution
  • Understanding of agency securities lending programs, including loan lifecycle, recalls, borrower counterparty limits, collateral reinvestment, and agent lender oversight
  • Understanding of global capital markets, financial instruments, data management, accounting principles, unitized pool transactions, corporate actions, and global payment and settlement mechanisms
  • Understanding of regulatory reporting, Uncleared Margin Rules, initial margin calculations, SIMM methodology, and collateral management optimization
  • Experience in FX hedge management, derivative valuations, quantitative valuation models, derivative analytics, investments, and funding decisions
  • Experience using derivative and investment operations tools such as Bloomberg AIM, ICE Data Services, TriResolve, MarkitWire, AcadiaSoft, RStudio, Python, VBA, or SQL
  • Ability to evaluate consequences of options, gather and validate information, and solve problems
  • Professional designation or industry accreditation such as CFA, FRM, CA, CPA, MBA, or CAIA
  • Experience applying AI models, agentic workflows, and automation tools to streamline operational processes and enhance decision-making
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The Company
HQ: Totowa, NJ
1,647 Employees
Year Founded: 1999

What We Do

British Columbia Investment Management Corporation (BCI) offers an exceptional opportunity to work at a world-class organization. With $250.4 billion of gross assets under management, BCI is the provider of investment management services to British Columbia’s public sector. We invest globally across a range of asset classes and strategies in public and private markets. BCI generates the investment returns that help our British Columbian public sector clients build financially secure futures. The people who work at BCI are committed, passionate, and approachable. They aim for continuous improvement and share BCI’s core values of clients first, performance focused, world class, accountability, transparency, and integrity. Being recognized as one of Canada’s Top 100 Employers, Canada’s Top Family-Friendly Employers and BC’s Top Employers exemplifies BCI’s ongoing commitment to be a progressive workplace of choice; one that attracts, retains, and promotes talent so that we can continue to work towards meeting our clients’ financial goals. As an active in-house asset manager, BCI depends on specialized skills and expertise to successfully execute its world-class investment strategies and fulfill client needs. We are currently expanding our team and our skill base to equip BCI for the future.

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