Algonquin Capital is a boutique alternative asset manager based in Toronto. In 2015, the firm launched the Algonquin Debt Strategies Fund, which offers investors access to absolute return fixed income strategies. In 2016, the fund received the Canadian Hedge Fund Award for best one-year returns for a credit-focused fund.
For more information on the firm and fund, please visit: www.algonquincap.com
As the Fund continues to grow, we are looking to add depth and strength to our portfolio management team. The successful candidate(s) will work alongside the CIO on the management and trading of the Fund. This will include supporting and broadening the current portfolio activity while helping to develop and execute complementary strategies. While thus far the Fund has been primarily focused on Canadian investment grade issuers, the mandate is much broader and more global.
Being a fixed income focused firm, we are looking for experienced corporate credit portfolio managers, traders, and analysts. The opportunity offers a dynamic and fast-paced environment working within a small and highly driven team. The role is ideal for those who enjoy a variety of challenges and getting involved in all aspects of the business. Accordingly, we are seeking self-motivated, creative thinkers, who can thoughtfully take and manage risk.
For more information or to apply, please contact Brian D’Costa, Founding Partner & President at