CIBC Mellon delivers the full range of investment servicing solutions required by Canada's pension funds, investment funds, insurance companies, and corporations — backed by the local expertise of CIBC and the global scale of BNY.
CIBC Mellon has administered assets on behalf of Canada's institutional investment community since 1996. Our investment servicing solutions are designed to support institutional clients throughout the full investment lifecycle — from trade settlement and safekeeping through to fund accounting, performance reporting, securities lending, and investor recordkeeping.
With more than C$3.6 trillion in assets under administration and access to BNY's global sub-custodian network covering more than 100 markets, CIBC Mellon provides the depth of coverage and the local Canadian expertise that institutional mandates require.
CIBC Mellon's solutions are designed to work individually or as an integrated suite, allowing clients to configure their operating model around their specific mandate, asset mix, and governance requirements.
CIBC Mellon serves pension funds, investment fund managers, insurance companies, corporations, and international institutions investing into Canada. Our solutions are calibrated for the scale and complexity of institutional mandates, with service governance and reporting designed to meet the oversight requirements of Canadian institutional investors and their regulators.
COMPLIANCE NOTICE (LOCKED) — This page provides general information about CIBC Mellon's institutional asset servicing capabilities. It does not constitute legal, tax, regulatory, investment, or product advice. Service availability, scope, and terms are subject to applicable agreements and may vary by client type, jurisdiction, and asset class. Clients should consult their legal, tax, and compliance advisers before implementing any investment servicing arrangement. This block may not be modified by the AI content assembly engine. Any changes require a formal review cycle.
Safekeeping, settlement, and real-time position reporting across domestic and global markets, backed by BNY's sub-custodian network covering more than 100 markets.
Net asset value production, fund accounting, and institutional reporting for mutual funds, pooled funds, and ESG-focused strategies registered in Canada.
Generate incremental income on eligible portfolio holdings through a fully-administered lending programme configured to your Investment Policy Statement and risk tolerance.