Sr. Financial Analyst, Product Control

Canadian Imperial Bank of Commerce

Toronto

Hybrid

CAD 120,000 - 180,000

Full time

14 days+
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Job summary

Canadian Imperial Bank of Commerce is seeking a senior Product Control professional in Toronto, with a focus on daily P&L integrity and risk factor decomposition for equity derivatives and markets lines of business. The role emphasizes collaboration across Finance, Front Office and Risk Management in a hybrid work setting, requiring strong analytical abilities and precise data interpretation.

You will champion the One Finance vision, manage relationships with key stakeholders, and ensure robust

Qualifications

  • CFA Level II or equivalent with 3+ years in Product Control.
  • Strong data-driven and analytical mindset.
  • Excellent collaboration across Finance and Front Office.

Responsibilities

  • Relationship mgmt: liaise daily with Finance, Front Office and Capital Markets stakeholders.
  • Corroboration: support Front Office, Risk Management and Finance, including P&L decomposition by risk factors.
  • Business focus: accountable for the Daily Financial Estimate for a Capital Markets Trading Line of Business; main contact for CFO Group and stakeholders.

Skills

Relationship mgmt
Analytical thinking
Data interpretation
Change management
Communication

Education

CFA Level II or equivalent
MBA/FRM/MFin a plus

Job description

We’re building a relationship-oriented bank for the modern world. We need talented, passionate professionals who are dedicated to doing what’s right for our clients.

At CIBC, we embrace your strengths and your ambitions, so you are empowered at work. Our team members have what they need to make a meaningful impact and are truly valued for who they are and what they contribute.

To learn more about CIBC, please visit CIBC.com

What You'll Be Doing

The Daily Financial Estimates (DFE) Product Control Team is accountable for the integrity and timeliness of gross revenue for management records and reporting; namely Profit and Loss (P&L) reconciliation and decomposition to trader’s Same Day Estimates (SDE) for the Equity Derivatives and Equity Markets Lines of Businesses. You will embody the One Finance Vision and Guiding Principles.

At CIBC we enable the work environment most optimal for you to thrive in your role. You’ll have the flexibility to manage your work activities within a hybrid work arrangement where you’ll spend 1-3 days per week on-site, while other days will be remote.

How You’ll Succeed
  • Relationship management – possess good teamwork, partnership and relationship building skills sufficient to act in a collaborative manner given team members and stakeholders different backgrounds and experiences. You will liaise daily with Finance, Front Office and other Capital Markets stakeholder groups.
  • Corroboration– provide supporting activities to Front Office, Risk Management and Finance, which includes decomposition of P&L by risk factors to ensure business partners, understand the underlying drivers of P&L. Review and consolidate daily commentary and analyses for stakeholders
  • Business focus – be accountable for the Daily Financial Estimate for a Capital Markets Trading Line of Business. The incumbent is accountable to ensure that the control framework is operating efficiently. You will act as the main point of contact for peer and stakeholders in Capital Markets CFO Group, Front Office, Global Operations, Finance, Risk Management, etc. to ensure resolution of all related issues.
Who You Are
  • You understand that success is in the details. You notice things that others don't. Your critical, analytical thinking skills and sound judgement help to inform your decision making.
  • You embrace and champion change. You'll continuously evolve your thinking and the way you work in order to deliver your best.
  • You give meaning to data. You enjoy investigating complex problems, and making sense of information. You're confident in your ability to communicate detailed information in an impactful way.
  • You’re a certified professional. You have current accreditation and good standing in a CFA program(Level 2) or equivalent, with 3+ years of relevant Product Control work experience. MBA, FRM, MFinare a plus.
  • You can demonstrate experience in concepts and processes for the PnL reporting of complex and/or sensitive nature; derivative products, customized securities, cr
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