Senior Manager, Special Accounts Management, Global Risk Management
Job in
Toronto, Ontario, M5A, Canada
Listing for:
Scotiabank
Full Time
position
Listed on 2026-01-02
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Corporate Finance
Job Description & How to Apply Below
Is this role right for you?
In this role, you will:
Provide Expert Advice:
Contribute to the minimization of reputational and credit losses by providing strategic guidance and advice of portfolio performance and regular dialogue with GRM / Banking / Execution teams.Serve as an advocate to protect value for clients and the Bank by providing practical solutions for problem loans in the SAM portfolioManage relationships with borrowers and other lenders (as required) working with professionals (legal / financial advisory) as necessary and represent the Bank’s position to all partiesProvide support to Banking teams for SAM Shadowed and Advisory accounts.Enhance collaboration with other areas of the bank (e.g. GBM, Finance, Audit, etc.)Remain up to date on industry perspectives and practicesMonitor the timely review of all applications and submissions.Risk Assessment and Compliance:
Participate in the annual (quarterly for Problem Loans) process to assess the proper risk for each borrower and review and recommend provisions for the non-performing portfolio.Evaluate financial and non-financial risks, ensuring accurate client risk profiling.Support the identification of training, coaching and process improvement opportunities in conjunction with Banking and Credit (including post-mortems)Confirm that the terms and conditions of authorizations are accurately documented.Liaise with internal audit, banking regulators, and the external auditors.Ensure compliance with bank policies and regulatory requirements, and adequate escalation of exceptions.Navigate credit submissions through the adjudication process.Portfolio Management:
Participate in portfolio monitoring and active development and implementation of recovery strategies for at-risk accounts to maximize recoveries and minimize resolution timelines.Ensure the accuracy of data in the various databases and reports, including all requirements related toregulatory requirements and Bank systems.Work with GRM to ensure adherence to all compliance metrics of the loan portfolio is managed effectively within defined KPI.Do you have the skills that will enable you to succeed in this role? - We'd love to work with you if you have:
Minimum of 5 years of banking experience.Minimum Post Secondary Education in Business or related area, preferably professional accounting designation, CFA or MBA, with commercial and/or corporate banking experience.Knowledge and understanding of Corporate and/or Commercial banking.Strong skills in financial analysis and risk assessment.Awareness of differences in the tax, legal and accounting rules of the various jurisdictions.Good understanding of a wide variety of industries and markets which require specializedknowledge.General computer knowledge to effectively use various computer software applications.Solid knowledge of insolvency and restructuring matters or a willingness to develop this knowledge.Proven skills with respect to deal negotiation, deal structuring, due diligence and loan documentation.Strong writing and presentation skills.Strong time management, planning and organizing skills to manage multiple priorities in a dynamic work environment.Strong interpersonal, relationship building and communication skills.Language
Skills:
English - advanced
Position Requirements
10+ Years
work experience
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