Opportunity Description
Step into a leadership role as Director of Market Risk Management in Toronto. Lead a skilled team focusing on FX and Collateral Management while ensuring market risks are communicated effectively.
In this pivotal position, you will oversee market risk exposure and work closely with trading management. Your role involves reviewing daily risk reports and ensuring compliance with the Bank's risk appetite. You will guide product recommendations and manage a team of risk professionals committed to excellence in risk management.
Key Responsibilities:
• Oversee market risk exposures and communicate findings
• Review daily risk reports and engage with the business
• Recommend on new product proposals and limit requests
• Foster proactive communication with trading groups
• Advise on valuation reserve adjustments and methodologies
Requirements:
• Quantitative undergraduate degree; Master’s preferred
• 5+ years of experience in market risk management
• Strong lea...
In this pivotal position, you will oversee market risk exposure and work closely with trading management. Your role involves reviewing daily risk reports and ensuring compliance with the Bank's risk appetite. You will guide product recommendations and manage a team of risk professionals committed to excellence in risk management.
Key Responsibilities:
• Oversee market risk exposures and communicate findings
• Review daily risk reports and engage with the business
• Recommend on new product proposals and limit requests
• Foster proactive communication with trading groups
• Advise on valuation reserve adjustments and methodologies
Requirements:
• Quantitative undergraduate degree; Master’s preferred
• 5+ years of experience in market risk management
• Strong lea...
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