This job is no longer available
This job expired on 13/07/2026. It no longer accepts applications.
Investment Risk Modelling Co-op – Fall 2026
British Columbia Investment Management Corporation
Job description
About the role
Join the Investment Strategy & Risk team at BCI for a Fall 2026 co‑op term. You will support the Investment Risk Modelling and Public Markets Risk Management group, helping monitor market and counter‑party risks for a diversified $295 billion portfolio.
Key responsibilities
- Monitor day‑to‑day market and counter‑party risk operations.
- Prepare risk‑management reports, analyses and measurement tools.
- Develop and enhance risk‑reporting templates, using AI‑driven data visualisation and interactive dashboards.
- Document new processes and keep risk manuals up to date.
- Execute ad‑hoc projects with Python and Power BI, automating repetitive tasks and streamlining reporting.
Required profile
- University degree (or in‑progress) with coursework in financial risk management or investment management.
- Familiarity with Python, Bloomberg, SQL and VBA.
- Working knowledge of AI tools such as Claude or Copilot and ability to apply them to data analysis and automation.
- Basic understanding of business and investment concepts.
Required skills
- Python
- Bloomberg
- SQL
- VBA
- Power BI
- AI tools (Claude, Copilot)
What we offer
- Experience within one of Canada’s largest institutional investors managing a $295 billion global portfolio.
- Opportunity to work on real‑world risk‑modelling projects and develop AI‑enhanced reporting skills.
- Recognition as a top employer in Canada and British Columbia.
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British Columbia Investment Management Corporation
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