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A leading global financial services firm in Mississauga is seeking a Governance Risk Analyst to coordinate governance and regulatory requirements. The ideal candidate will have 6-10 years of experience in financial services, strong knowledge of wholesale credit risk, and excellent communication skills. This is a full-time role with a salary range of $111,600 to $161,600 CAD.
The Governance Risk Analyst role is within the CAO Business Strategy Execution risk group responsible for accomplishing results through the coordination of governance, regulatory affairs and engagement activities with the BIR Segments, Portfolio Management and Business execution teams. The team drives the overall BIR Governance Strategy Execution activities, including managing or addressing regulatory/internal audit issues, structuring processes supporting governance, regulatory affairs for the BIR organization, supporting portfolio management requirements, and driving project management activities. This role provides visibility and cross-functional experience within Risk Management and across Products and Functions, with significant interaction with internal and external stakeholders including regulatory bodies in relation to risk management practices and involvement in strategic projects.
This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.
Job Family Group: Business Strategy, Management & Administration
Job Family: Business Execution & Administration
Time Type: Full time
Primary Location Full Time Salary Range: $111,600.00 - $161,600.00
Most Relevant Skills: Please see the requirements listed above.
Other Relevant Skills: Corporate Governance, Counterparty Credit Risk, Credit Risk Management, Credit Risk Policy, Financial Services, Portfolio Management, Regulatory Risk, Risk Management.
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