Manager, Enterprise Capital Management
Listed on 2026-08-29
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Analyst, Capital Markets
Work Location:
Toronto, Ontario, Canada
Hours:37.5
Line of Business:Finance
Pay Details:$96,900 - $136,800 CAD
This role is eligible for a discretionary variable compensation award that considers business and individual performance.
TD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs.
As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.
Job Description:Job Description / Accountabilities:
The Manager will support TD's enterprise capital management mandate, with a primary focus on strategic capital optimization and capital performance analytics. The role will contribute to identifying opportunities to improve capital efficiency, evaluating capital and return outcomes, and developing insights that support disciplined balance sheet usage and strategic decision-making across businesses.
The Manager will work closely with partners across Treasury, Finance, Risk Management, business segments and other enterprise teams to deliver high-quality analysis and executive-ready materials for senior management, governance committees and the Board of Directors.
Key responsibilities include:- Maintain and enhance capital performance dashboards and analytics, including Return on Equity, Organic Capital Accretion, Economic Profit and related measures used to assess capital deployment and return outcomes.
- Perform analytical assessments and scenario analysis to evaluate the capital and return implications of optimization initiatives and business strategies, clearly articulating key drivers, trade-offs and considerations.
- Contribute to the continued enhancement of capital allocation methodologies and performance measurement approaches, including improvements to data, analytical processes, controls and governance.
- Support the identification and assessment of capital optimization opportunities, including those arising from data, methodology and product-related enhancements.
- Develop clear, concise and executive-ready presentations and analysis for senior management, governance committees and the Board of Directors.
- Partner with stakeholders across Treasury, Finance, Risk Management, business segments and other enterprise teams to promote a consistent understanding of capital requirements, performance implications and opportunities to improve capital efficiency.
- Maintain a strong understanding of regulatory capital frameworks, financial markets, banking products, business strategies and capital management practices to support informed analysis and recommendations.
The Treasury and Balance Sheet Management (TBSM) department of TD Bank is responsible for overseeing the management of TD's consolidated non-trading market risk, funds transfer pricing measurement framework, funding strategies and liquidity risk, and capital position.
Enterprise Capital Management (ECM), within TBSM, is responsible for managing the Bank's capital adequacy and efficiency, including the interpretation and application of regulatory capital requirements and capital optimization initiatives; capital allocation methodology; oversight of subsidiary capital management; coordination of regulatory advocacy; development and reporting of the Bank's internal capital adequacy assessment process; support for the analysis of corporate development opportunities; and forecasting and analysis of TDBG's consolidated regulatory capital requirements.
Job Requirements Qualifications / Skills /Experience:
- Relevant experience in capital management, Treasury, Finance, Risk Management, business performance analytics or a related function within a financial institution.
- Advanced analytical and problem-solving capabilities, with the ability to assess capital drivers, return outcomes, business implications and trade-offs across financial, strategic and operational dimensions.
- Demonstrated ability to translate complex analysis into clear, concise and actionable insights, dashboards and executive-level materials for senior audiences.
- Effective relationship management and collaboration skills, with the ability to work across Treasury, Finance, Risk Management, business segments and other enterprise partners.
- Advanced proficiency in Excel and PowerPoint, with experience in data visualization, reporting tools, automation or AI-enabled analytics considered an asset.
- Excellent written and verbal communication skills, with the ability to synthesize complex capital, regulatory and financial topics into clear,…
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