About Us:

With $295.0 billion of gross assets under management, as of March 31, 2025, 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.

Experience:

Mid-level

Salary Range:

$85, 000 - $100, 000

Position description

POSTING CLOSE DATE:

June 14, 2026

THE OPPORTUNITY

Reporting to the Principal, Transactions and Total Portfolio Risk, the Senior Analyst/Associate plays a central role in BCI’s investment risk function, supporting the Fixed Income & Credit Investments Risk Management team and the Private Markets Risk Management team to evaluate the risk profile of private market investments before they reach the Investment Committee. Working across private credit and infrastructure & renewable resources, the Senior Analyst/Associate conducts independent risk assessments that directly inform IC decisions on commitments. The role combines transaction-level analysis with total portfolio risk work and contributes to the team’s AI-driven risk frameworks that scale analytical coverage across BCI’s private market asset classes. The Senior Analyst/Associate is expected to work independently on complex analytical assignments, exercise sound judgment in ambiguous situations, and produce IC-ready outputs with minimal direction.

WHO YOU WILL WORK WITH

The Investment Strategy & Risk (ISR) department plays a key role in setting, implementing, executing, and monitoring the long-term strategies of BCI’s clients. This is accomplished by working with clients, management, and asset classes to define the optimal path to achieve clients’ outcomes and enabling BCI’s investment structures and processes necessary to fulfill these outcomes.

Investment Risk focuses on the measurement and management of the asset class, total portfolio, and client investment risks. This is achieved through advising clients on appropriate investment strategies based on their risks and tolerances for those risks, understanding exposures to investment risks across BCI’s assets so that risks are mitigated appropriately relative to expected returns, and better equipping our asset classes and our clients to identify, assess, and seize opportunities in potential investment risks.

WHAT YOU GET TO DO

  • Conducts independent risk due diligence on private market investment opportunities, including fund commitments, co-investments, and direct deals across private credit, and infrastructure and renewable resources, supporting both the Private Markets Risk Management and the Fixed Income & Credit Investments Risk Management teams through the due diligence process
  • Evaluates financial structures, downside scenarios, and factor exposures at the transaction level; develops and documents independent risk views to inform Investment Committee decisions
  • Produces IC-grade risk memos and presentation materials, communicating complex findings clearly to asset class leadership and senior stakeholders
  • Supports the production of market risk updates, periodic risk reports, and ad hoc what-if analyses used by Investment Risk and asset class teams
  • Contributes to total portfolio risk analytics, including factor attribution and cross-asset analysis
  • Contributes to the team’s proprietary AI-driven risk frameworks and analytical systems, extending coverage and improving the consistency of risk assessments across private markets
  • Tracks developments across BCI’s private market portfolio and proactively flags investments warranting closer review
  • Contributes to the enhancement of risk assessment frameworks, methodologies, and processes, including the integration of new techniques and too

WHERE YOU WILL WORK

Work from our downtown Victoria office.

SALARY RANGE

BCI offers a competitive total rewards package which includes a performance-based incentive plan, comprehensive health & dental benefits, a defined benefit pension plan and paid time off.

The annualized base salary range for this Victoria-based role is:

  • Senior Analyst – CAD $90,000 – $110,000
  • Associate – CAD $105,000 – $128,000

Our recruitment process requires that the successful candidate agrees to undergo a criminal record search, education and designation verification; to provide a declaration of no previous or current criminal status; and to comply with our corporate Code of Ethics & Professional Conduct.

Interested in joining our team and want to learn of other career opportunities with BCI? Create a profile and sign up for job alerts at: https://bci.wd10.myworkdayjobs.com/BCI_Careers.

Required skills / Experience

WHAT YOU BRING

Must have:

  • Degree in Finance, Economics, Accounting, Mathematics, Engineering, or a related discipline
  • 3–6 years’ experience in investment risk, credit analysis, or private markets investment analysis
  • Knowledge of fundamental credit analysis, including financial structures, covenant packages, and downside scenario evaluation
  • Strong financial capability across financial modelling, scenario analysis, and factor-based risk analysis
  • Hands-on experience using AI tools to enhance analytical workflows
  • Demonstrated ability to translate complex analysis into clear written and verbal recommendations for senior investment audiences

Preferred:

  • Experience with SQL, Python, or other tools for risk data analysis
  • Direct experience evaluating private credit and infrastructure investments
  • Pension fund or institutional asset management experience
  • Professional designation (CFA, FRM, PRM, CAIA) or postgraduate degree in a quantitative field
  • Familiarity with risk systems and data platforms (e.g., MSCI Risk Manager, Bloomberg…)
Senior Analyst/Associate, Transactions & Total Portfolio Risk
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How to Apply

Please apply online at the link below.