Position Overview
Step into a leadership role in Toronto as Market Risk Director, focusing on FX and Collateral Management. Ensure market risks are effectively reported and managed in alignment with Bank policies.
In this position, you will lead a team of risk professionals dedicated to understanding and controlling market risks. You will collaborate with trading management, reviewing proposals and engaging in key discussions on trading activity and sentiment. This role is pivotal in maintaining the organization's risk appetite while promoting transparent communication.
Key Responsibilities:
• Manage and communicate market risk exposures effectively
• Analyze daily risk reports and provide actionable insights
• Evaluate new product proposals for risk assessment
• Engage actively with trading teams to alleviate issues
• Guide the valuation and pricing methodologies for risk
Requirements:
• Undergraduate degree in quantitative fields; Master’s preferred
• 5+ years in market r...