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Strategic Asset Allocation (Global Macro) Co-op/Internship (Winter 2027)

Offre en anglais
  • Victoria, BC
  • Hybride
  • Publié 19 sept. 2026
  • 1 poste

60 580 $ / année

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Type d’emploi
Stage / apprentissage, Temps plein
Niveau d’expérience
Débutant, Junior · 0+ ans
Formation minimale
Baccalauréat
Postuler avant le
2 oct. 2026
Langue de l’offre
anglais
Heures de travail
40 heures par semaine
Présence au bureau
4 jours par semaine

Résumé du poste

The intern will support the Strategic Asset Allocation team by conducting macroeconomic research, modeling market developments, and assisting with long-term capital market assumptions. They will also prepare client reports, presentations, and maintain quantitative dashboards to support investment strategy and client advice.

Détails du poste

Closing Date: October 1, 2026 The British Columbia Investment Management Corporation (BCI) is currently seeking a Strategic Asset Allocation (Global Macro) co-op student/intern for the Winter 2027 work term (January to April). WHAT YOU NEED TO KNOW BCI manages a globally diversified portfolio of assets valued at $313.7 billion and is one of Canada’s largest institutional investors. We invest globally to support pension and other funds for more than 30 clients based in British Columbia. We are proud to have been chosen as one of Canada’s Top 100 Employers and BC’s Top Employers. These national and provincial competitions recognize employers who offer exceptional workplaces for their employees. The Global Macro co-op/intern will work within the Strategic Asset Allocation team in the Investment Strategy & Risk department, gaining hands-on experience by applying academic knowledge in a professional setting. The role involves supporting macroeconomic research and the analysis that underpins long-term investment strategy and client advice. Co-ops/interns conduct research across a broad range of investment topics, including capital markets, investment strategies, performance, and investment products and support the preparation of client reports, presentations and materials for client meetings. WHO YOU WILL WORK WITH Investment Strategy & Risk is responsible for setting, implementing and monitoring clients’ long-term investment strategies by working closely with clients, management and asset classes. The department comprises 5 branches: Strategic Asset Allocation, Total Fund Management, Investment Risk and Growth and Investment Solutions. The Strategic Asset Allocation team consists of three major workstreams. The Global Macro workstream conducts research and models relevant macroeconomic developments, including assessment of the current business cycle dynamics and research of emerging economic or financial trends, opportunities, and risks. The ALM workstream assists clients with developing tailored investment policies that achieve investment objectives consistent with their investment philosophies, funding policies and risk tolerances. The Client Relations workstream’s focus is on building long-term relationships with clients based on trust and to ensure that we exceed our client’s investment performance and service expectations. Successful candidates will gain valuable exposure to all three workstreams while working on the SAA team. WHAT YOU WILL BE DOING Conduct macroeconomic and market research on topics such as monetary policy, inflation, and geopolitical risk, and help produce recurring macro data summaries for the team. Assist with Long-Term Capital Market Assumptions (LTCMAs), including data pulls, returns analysis, peer comparisons, and methodology refinement as needed Help translate complex macroeconomic analysis into clear, well-styled outputs for senior investment and executive audiences Support quarterly scenario modelling, narrative development, and maintaining signpost/monitoring frameworks Build and maintain quantitative analysis and exhibits using Python, Excel, and econometric software, and support dashboard development in Power BI Ad-hoc projects and tasks assigned by the team Conduct independent research and prepare reports/presentations on a wide range of investment topics for client meetings and for internal staff Assist with client education by producing written materials and educational presentations Actively adheres to compliance and risk management policies and participates in BCI’s business continuity plan THE IDEAL STUDENT Working toward a degree in economics, financial mathematics, quantitative finance, or a related quantitative discipline Demonstrates an ability to gather and process large amounts of data and information and present it in a concise manner Likes to solve problems using creative and innovative solutions Enjoy building and maintaining strong relationships with clients and team members. Demonstrates an extremely strong work ethic and displays initiative to strive to deliver value above and beyond the job description Has relevant prior co-op experience Preference will be given to students who have shown initiative and a passion for the investment industry REQUIRED SKILLS Solid grasp of macroeconomics, financial markets, and monetary policy; genuine curiosity about global macro and geopolitical developments Keen interest in investments and a drive to continually learn about financial markets Strong written and verbal communication skills High level of professionalism with strong interpersonal skills Excellent attention to detail, with the ability to meet deadlines while maintaining accuracy and quality Strong analytical, research, and problem-solving skills Interest in finance, economics, and investment management, with a strong work ethic, commitment to ethical standards, and eagerness to learn Strong time management and project management skills Proficiency in Microsoft Excel, PowerPoint, Word, and Outlook Experience with Bloomberg, Python, EViews, and Power BI is an asset WHAT WE OFFER Career development and training Work with a dynamic team in a fast-paced environment The chance to do work that will challenge and stimulate you Be a valued part of a team Development of real-world skills at one of the largest institutional investors in Canada & the world Exposure to some of the most talented, approachable, and inspiring people in the finance industry Time to connect with other co-op students and interns from other departments - build your network and shared learning Potential work term extensions and career opportunities 2 paid days per year for volunteering Competitive pay: $2,330.00 gross bi-weekly + vacation leave paid based on 6% of salary Travel: if coming to Victoria for this work term, BCI will provide a fixed-rate travel allowance based on your location. THE DETAILS Work term: Winter 2027 (January to April) Department: Investment Strategy & Risk Office Location: 750 Pandora Avenue, Victoria, BC Spend your off hours exploring beautiful Victoria and Vancouver Island All co-ops/internships will need to be completed in person at our Victoria office with the option of working one day per week from home. Please note that some positions are not eligible for hybrid work. HOW TO APPLY Apply directly to the Strategic Asset Allocation (Global Macro) Co-op/Internship posting on our careers page https://bci.wd10.myworkdayjobs.com/BCI_Careers Application deadline: October 1, 2026 at 11:59pm PDT Please upload a cover letter, resume, and transcripts (unofficial transcript will suffice) Note: We welcome applications from all qualified candidates who are interested in applying for this role. You will need to be legally authorized to work in the country where this job is located. If you currently do not have authorization or if your work permit, study permit, or visa has restrictions or is due to expire during the work term, you may not be eligible for this opportunity. At BCI, we value diversity and believe in fostering an inclusive culture where all employees can be successful. We are performance and client focused and value integrity; if you share these values, we want to know you. We recognize that some skills can be learned on the job and encourage all to apply. If you require an accommodation for the recruitment process (including alternate formats of materials, accessible meeting rooms or other accommodations), contact us at co-op@bci.ca. We would like to hear from you!

Ce que vous ferez

The intern will support the Strategic Asset Allocation team by conducting macroeconomic research, modeling market developments, and assisting with long-term capital market assumptions. They will also prepare client reports, presentations, and maintain quantitative dashboards to support investment strategy and client advice.

Exigences

Candidates should be working toward a degree in economics, financial mathematics, quantitative finance, or a related quantitative discipline. Strong analytical skills, proficiency in Python and Excel, and a keen interest in global macroeconomics and investment management are required.

Avantages

• Vacation leave • Travel allowance • Volunteering leave • Career development • Training

Compétences indiquées

  • Gestion du temps · Souhaitée
  • Power BI · Souhaitée
  • Résolution de problèmes · Souhaitée
  • Analyse de données · Souhaitée
  • Microsoft Excel · Souhaitée
  • Communication Skills · Souhaitée
  • Gestion de projet · Souhaitée
  • Python · Souhaitée

Autres compétences pertinentes

Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.

  • Macroeconomics
  • Financial markets
  • Monetary policy
  • Investment strategy
  • Quantitative analysis
  • Python
  • Excel
  • Power BI
  • Data analysis
  • Research
  • Communication skills
  • Problem-solving
  • Time management
  • Project management
  • Bloomberg
  • EViews
  • Report Writing
  • Client Education
  • Professionalism
  • Ability To Meet Deadlines
  • Curiosity
  • Willingness To Learn
  • Ethical Standards And Conduct
  • Strong Work Ethic
  • Microsoft Excel
  • Asset Allocation
  • Asset Classes
  • Business Intelligence
  • Business Continuity Planning
  • Business Cycle
  • Management
  • Investments
  • Capital Markets
  • Customer Service
  • Mathematical Finance
  • Economics
  • Econometrics
  • Finance
  • Financial Services
  • Financial Market
  • Financial Risk
  • Investment Management
  • Geopolitics
  • Innovation
  • Institutional Investing
  • Interpersonal Communications
  • Investment Performance
  • Investment Strategy
  • Problem Solving
  • Python (Programming Language)

Domaines d’emploi

  • Finance & Accounting
  • Data & Analytics
  • Science & Research
  • Management & Leadership
  • Human Resources Co-Op/Intern
  • Financial Quantitative Analyst
  • Financial Analysts
  • Financial Quantitative Analysts
  • Financial Specialists, All Other

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