Associate Director, Enterprise Market Risk Reporting & Analysis

What is the opportunity?

As Associate Director, you ensure that market risk exposures are provided to stakeholders in a timely and accurate manner, with commensurate analytical insight on the risks. You assist the Director by analyzing and confirming drivers of changes for various trading and banking portfolios, compiling daily/weekly reports, performing daily OSFI backtests, improving the existing reporting infrastructure and providing enhancements to senior management reports. You ensure that the requisite inputs for complete and accurate reporting will be available for reporting periods by working closely with the Regulatory Capital & Analysis team, the Quantitative Risk Analytics team and the various Local Market Risk teams.

What will you do?

Provide timely accurate and complete market risk reporting and analysis, owning the end-to-end processes that facilitate this reporting stream

Design and develop new requirements for senior management reports, such as weekly Operating Committee report and FVOCI report

Understand, analyze and communicate the drivers and trends of risks for RBC and key sub-portfolios, and provide context therein with respect to changes in the market risk profile of the portfolios

Engage in replacement project for Eolus, and develop/modify template for reporting for ATOM

Provide detail risk analysis to senior management (such as quarterly risk reports, monthly/quarterly OSFI submission)

Maintain a thorough understanding of the methodologies used for Value at Risk (VaR), Stress VaR, Specific Risk (SR) and Stress Testing

Generate trends and reports daily for senior management, and communicate key/material changes to all stakeholders

Perform daily backtesting, generate weekly Operating Committee report, and quarterly trend analysis report

What do you need to succeed?

Must-have:
Minimum 5 years of experience in trading or trading risk management roles

Strong understanding of financial markets and trading businesses, both exchange traded and over the counter markets

Thorough knowledge of traded instruments including derivatives and their associated risks

Familiar with VaR and Stress Testing

Excellent knowledge of MS Excel, Tableau and exposure to SQL

Strong knowledge of programming languages, preferably Python

Nice-to-have:
MBA, MA or MS or equivalent with emphasis in finance, economics or a quantitative discipline

CFA, CA, FRM or other related professional qualifications

What’s in it for you?

We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. We care about each other, reaching our potential, making a difference to our communities, and achieving success that is mutual.

A comprehensive Total Rewards Program including bonuses and flexible benefits, competitive compensation

Leaders who support your development through coaching and managing opportunities

Ability to make a difference and lasting impact

Work in an agile, collaborative, progressive, and high-performing team

The opportunity to interface with senior level executives from many different parts of the organization

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