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Senior Market Risk Manager - Equity Derivatives (Hybrid)

Canadian Imperial Bank of Commerce

Toronto

Hybrid

CAD 80,000 - 110,000

Full time

Today
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Job summary

A leading North American banking institution is seeking a Senior Risk Manager, Trading Market Risk in Toronto. The successful candidate will manage market risk for Equity Derivative trading desks, ensuring effective risk oversight. They will collaborate with various teams to provide risk analysis and enhance risk measurement models. Ideal candidates will have 2+ years of relevant experience and a degree in finance. This role offers a hybrid work arrangement, providing flexibility to balance on-site and remote work.

Benefits

Competitive salary
Incentive pay
Banking benefits
Defined benefit pension plan
Employee share purchase plan
Vacation offering
Wellbeing support
Social recognition program

Qualifications

  • 2+ years of experience in market risk, trading, or related risk field.
  • Experience with capital market products, especially Equity Derivatives.
  • Strong knowledge of risk management and measurement.

Responsibilities

  • Manage market risk and provide oversight for the Equity Derivative trading desks.
  • Collaborate with risk managers to deliver analysis to senior management.
  • Identify issues with risk models and enhance existing models.

Skills

Analytical Thinking
Group Problem Solving
Market Risk
Regulatory Requirements
Reporting and Analysis
Researching
Risk Management Framework

Education

Degree in Quantitative Finance, Financial Engineering, Financial Mathematics, or Statistics

Tools

Python
R
SQL
Bloomberg API
Job description
A leading North American banking institution is seeking a Senior Risk Manager, Trading Market Risk in Toronto. The successful candidate will manage market risk for Equity Derivative trading desks, ensuring effective risk oversight. They will collaborate with various teams to provide risk analysis and enhance risk measurement models. Ideal candidates will have 2+ years of relevant experience and a degree in finance. This role offers a hybrid work arrangement, providing flexibility to balance on-site and remote work.
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