Structural Market Risk Oversight Manager

Insight Global

Toronto

On-site

CAD 100,000 - 120,000

Full time

14 days+

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Job summary

A leading financial institution in Canada seeks a strategic risk oversight professional to connect Asset Liability Management with the broader balance sheet. The role involves monitoring and challenging IRRBB metrics, overseeing market risk limits, and preparing materials for senior leaders. Candidates should have 5-7 years of experience in Treasury or ALM, with hands-on knowledge of risk policy frameworks. This full-time position offers a salary range between $100,000 and $120,000 annually.

Qualifications

  • 5-7+ years in Treasury, ALM, or Market Risk (Banking Book focus).
  • Hands-on experience with IRRBB metrics and structural market risk oversight.
  • Strong knowledge of risk policy frameworks and regulatory requirements.

Responsibilities

  • Monitor and challenge IRRBB metrics.
  • Oversee structural market risk limits and investigate breaches.
  • Prepare committee materials for senior leaders.

Skills

Treasury
Asset Liability Management (ALM)
IRRBB metrics
Market Risk oversight
Risk policy frameworks

Job description

Join one of Canada’s leading banks in a strategic risk oversight position that connects Asset Liability Management (ALM) to the broader balance sheet. This is a second line of defense role providing independent challenge, governance, and reporting on structural market risk in the Banking Book.

You’ll partner with Treasury, Finance, and senior leadership to ensure risk is measured accurately, limits are respected, and governance frameworks are robust. If you’re passionate about IRRBB, ALM, and influencing strategic decisions, this is an opportunity to make a real impact.

Base pay range

$100,000.00/yr - $120,000.00/yr

What You’ll Do
  • Monitor and challenge IRRBB metrics (Economic Value of Equity, PV01, Earnings at Risk).
  • Oversee structural market risk limits, investigate breaches, and drive executive sign‑off.
  • Prepare committee materials for senior leaders (Market Risk & Corporate Treasury).
  • Maintain and enhance risk governance frameworks, policies, and standards.
  • Act as a trusted advisor to business groups, influencing methodology and assumptions.
  • Support regulatory audits, attestations, and ensure compliance with OSFI guidelines.
What We’re Looking For
  • 5–7+ years in Treasury, ALM, or Market Risk (Banking Book focus).
  • Hands‑on experience with IRRBB metrics and structural market risk oversight.
  • Strong knowledge of risk policy frameworks and regulatory requirements.
  • Nice to Have: QRM experience, CFA designation, quantitative modeling skills.
Seniority level

Mid‑Senior level

Employment type

Full‑time

Job function

Finance

Industries

Banking

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