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CAN - Risk Analyst III - 54844

S I Systems

Toronto

Hybrid

CAD 60,000 - 90,000

Full time

Yesterday
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Job summary

An established industry player is seeking an Analyst for their Collateral Management team. This hybrid role requires a proactive individual with 2-3 years of experience in capital markets or collateral management. You will work closely with various stakeholders to manage counterparty credit risk, ensuring effective mitigation strategies are in place. The ideal candidate will possess strong analytical skills and attention to detail, contributing to innovative solutions that enhance risk management practices. Join a dynamic team that values collaboration and continuous improvement in a flexible work environment.

Qualifications

  • 2-3 years of experience in capital markets or collateral management.
  • Bachelor's degree in a finance-related field is required.

Responsibilities

  • Mitigate counterparty credit risk effectively and efficiently.
  • Identify inefficiencies and implement improvements proactively.

Skills

Analytical Skills
Attention to Detail
Capital Market Experience
Collateral Management Experience

Education

Bachelor Degree in Finance
CFA/FRM Certification

Job description

Work Location (Remote, Hybrid or Both?): 66 Wellington Street West

Hybrid - Wed and Thurs in Office

CANDIDATE PROFILE DETAILS:

Degree/Certifications Required: Bachelor Degree in a finance-related field. CFA/FRM preferred.

Years of experience: 2 to 3 years

% Interaction with Stakeholders: Working with different stakeholders (counterparties/internal teams).

Team Size: 6 people

SUMMARY OF DAY-TO-DAY RESPONSIBILITIES:

An Analyst within Collateral Management will primarily focus on the effective and efficient mitigation of counterparty credit risk. Analysts are responsible for managing counterparty credit risk as well as demonstrating innovation and a proactive approach to risk mitigation by highlighting inefficiencies, risks, and implementing improvements.

MUST HAVE:

  1. At least 2 to 3 years of capital market experience or relevant collateral management experience.
  2. Strong analytical skills and attention to detail.
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