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Senior Market Risk Analyst (1864)

TD Bank

Old Toronto

On-site

CAD 76,000 - 116,000

Full time

30+ days ago

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Job summary

Une entreprise dynamique recherche un Analyste Principal en Risque de Marché pour rejoindre son équipe de gestion des risques. Dans ce rôle, vous serez responsable de l'évaluation des risques de marché, de la production de rapports d'analyse des risques et de la collaboration avec les équipes de trading et de finance pour atténuer les risques. Vous aurez l'occasion de travailler dans un environnement collaboratif tout en restant à jour sur les tendances du marché et les exigences réglementaires. Si vous êtes passionné par la gestion des risques et souhaitez contribuer à des processus d'amélioration continue, cette opportunité est faite pour vous.

Benefits

Environnement collaboratif
Exposition à une large gamme de produits financiers

Qualifications

  • 4-5 ans d'expérience en gestion des risques de marché.
  • Compétences solides en analyse des risques et gestion de portefeuille.

Responsibilities

  • Identifier et évaluer les risques liés aux mouvements du marché.
  • Développer et maintenir des rapports complets sur les risques de marché.

Skills

Outils de gestion des risques
Analyse quantitative
Modélisation financière
Compétences en communication
Pensée analytique
Résolution de problèmes

Education

Baccalauréat en finance
Baccalauréat en économie
Baccalauréat en mathématiques
Baccalauréat en ingénierie

Tools

Outils d'analyse des risques

Job description

Analyste princ., Risque de marché

Postuler remote type: Hybride

Locations: Toronto, Ontario

Time type: Temps plein

Posted on: Publié hier

Time left to apply: Date de fin: 17 janvier 2025 (Il reste 13 jours pour postuler)

Job requisition id: R_1388293

Lieu de travail : Toronto, Ontario, Canada

Horaire : 37.5

Secteur d’activité : Gestion des risques

Détails de la rémunération: $76,800 - $115,200 CAD

La TD a à cœur d’offrir une rémunération juste et équitable à tous les collègues. Les occasions de croissance et le perfectionnement des compétences sont des caractéristiques essentielles de l’expérience collègue à la TD.

Description du poste :

Department Overview

Market Risk (MR) is responsible for managing the ever-changing and dynamic world of trading and non-trading market risk, counterparty credit, margin management and liquidity risk.

Position Overview

We are seeking an experienced and highly skilled Senior Market Risk Analyst to join our dynamic Market Risk Management team.

Key Responsibilities:

Market Risk Assessment

  • Identify and assess risks related to market movements.
  • Keep abreast of emerging issues, trends, and evolving regulatory requirements.
  • Conduct stress testing and scenario analyses.
  • Manage relationships within and across various business lines.
  • Proactively analyze potential risks.
  • Support established enterprise-wide risk escalation processes.
  • Support the Senior Managers of the Market Risk team.

Risk Reporting & Analysis

  • Develop, produce and maintain comprehensive market risk reports.
  • Provide in-depth analysis and commentary on risk exposures.
  • Understand system and model changes.

Collaboration & Strategy

  • Work closely with trading and finance teams to identify and mitigate market risks.
  • Advise business units on potential market risks.

Regulatory Compliance

  • Ensure all market risk practices comply with relevant regulatory requirements.
  • Stay updated on industry regulations.

Continuous Improvement

  • Stay current on market trends and risk management techniques.
  • Propose and implement improvements to risk management processes.

Qualifications

Education: Bachelor’s degree in Finance, Economics, Mathematics, Engineering, or a related field.

Experience:

  • Minimum of 4-5 years of experience in market risk management.
  • Strong experience in risk analytics and portfolio management.

Skills:

  • Proficiency in risk management tools.
  • Expertise in quantitative analysis and financial modeling.
  • Strong understanding of risk metrics.
  • Excellent communication and presentation skills.

Personal Attributes:

  • Strong analytical thinking and problem-solving abilities.
  • Attention to detail and ability to work under pressure.

Why Join Us

  • Opportunity to work in a collaborative environment.
  • Exposure to a wide range of financial products.
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