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Risk Management Expert
Job Description & How to Apply Below
Drive risk management excellence at CIBC Mellon as a Market Risk Manager. This Toronto-based role focuses on monitoring and mitigating credit, market, and liquidity risks through effective strategies and stakeholder engagement.
As part of the second line of defense, you will leverage over five years of risk management experience to challenge business unit strategies and ensure compliance with the company's risk appetite. The role emphasizes your analytical prowess and ability to provide sound recommendations while mentoring junior team members to reinforce a culture of risk awareness.
Key Responsibilities:
• Assess and report on market risk exposures and mitigation plans
• Collaborate with senior leaders on risk assessment and policies
• Provide guidance on business initiatives and transactions
• Enhance existing risk management frameworks in line with regulations
• Stay informed on market developments to optimize strategies
Requirements:
• Minimum of 5 years' experience in varied risk management areas
• Degree in relevant finance or analytical fields
• Certification progress in CFA, FRM, or related areas an asset
• Strong critical thinking and analytical skills
• Ability to juggle multiple deadlines in fast-paced settings
Bring your leadership and analytical skills to help CIBC Mellon achieve its risk management objectives.
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