Pay Rate: $85
Location: Toronto ON
Job Type: Contract
Responsibilities Include:
- Provides market risk oversight, monitoring, and reporting for a designated portfolio.
- Develops and monitors the market risk management framework that includes the governance framework and practices leveraged across bank to manage market risk.
- Provides policies and standards, methodologies, and controls to increase transparency, accuracy, and consistency across groups.
- Works with stakeholders to implement the methodology, metrics, and program standards for the assigned portfolio to ensure compliance and effective monitoring, timely reporting and dentification of action plans.
- Develops and maintains in-depth knowledge of business and related risk management requirements and legislative/ regulatory directives and guidance.
- Builds effective relationships with internal/external stakeholders.
- Ensures alignment between stakeholders.
- Analyzes data and information to provide insights and recommendations.
- Monitors and tracks performance; addresses any issues.
- Previous Asset Liability Management experience - 7+ years
- Previous Structural Markets Risk experience - 7+ years
- Previous Treasury experience - 7+ years
- In-depth / expert knowledge and understanding of the market risk management practices.
- In-depth / expert knowledge of regulatory requirements.
- In-depth / expert knowledge & experience with risk policy frameworks; quality control/testing frameworks.
- Seasoned professional with a combination of education, experience, and industry knowledge.
- Previous QRM experience.