Job Description & How to Apply Below
Elevate your career as a Senior Risk Analyst in Toronto with a hybrid work model. This temporary role emphasizes enhancing analytical tools while managing market and credit risk reporting.
In this position, you'll work closely with multiple departments, applying your financial product insights to ensure effective monitoring and risk reporting. Your contributions will be crucial in implementing technology improvements that enhance analytical accuracy.
Key Responsibilities:
• Analyze and report on VaR ETL and Greeks daily
• Enhance in-house BI risk analysis tools for better performance
• Resolve issues in risk reporting and conduct market checks
• Collaborate on designing reporting business requirements
• Carry out UAT testing for risk system changes
Requirements:
• Over 3 years of experience in financial risk management
• Proficiency in risk measurement and pricing of derivatives
• Strong skills in Excel, VBA, SQL, and Python
• Excellent problem-solving and communication abilities
• Relevant Master's degree or CFA/FRM is a plus
Bring your risk management skills to the forefront and drive efficiency at your risk reporting practices.
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