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Toronto Market Risk Management
Job Description & How to Apply Below
Excel in your career as a Market Risk Manager at TD in Toronto, Ontario. Focus on stress testing design and market risk analysis to enhance financial strategies.
Reporting to the Director, Trading Market Risk Stress Testing & Scenario Design, you will play a key role in identifying and analyzing market risks. Collaborate with Market Risk colleagues and other departments to ensure effective risk management and compliance with regulatory standards.
Key Responsibilities:
• Lead the execution of stress testing scenarios and documentation
• Provide insights from stress testing results and key risk drivers
• Support governance and regulatory reporting initiatives
• Engage with cross-functional teams on stress testing processes
• Keep abreast of emerging market trends and regulatory changes
Requirements:
• Advanced degree in Finance or Quantitative discipline
• Over 6 years of experience in Market Risk or analytics
• Strong knowledge of market risk measures and methodologies
• Familiarity with Python, SQL, or similar analytical tools
• Excellent communication and leadership skills
Contribute to TD's mission of maintaining robust market risk management strategies.
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