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Senior Analyst, ALM & Market Risk

Job in Toronto, Ontario, C6A, Canada
Listing for: Altis
Full Time position
Listed on 2026-09-05
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Financial Analyst, Capital Markets
Salary/Wage Range or Industry Benchmark: 80000 - 100000 CAD Yearly CAD 80000.00 100000.00 YEAR
Job Description & How to Apply Below

Senior Analyst, Asset Liability Management (ALM) & Market Risk

Location: Toronto, ON, Hybrid, 3 days on-site Tuesday to Thursday

Compensation: $80,000 to $100,000 annualized, based on experience

Language: Advanced written and verbal English communication skills

Duration: 8-month contract, with potential for longer-term opportunities

Background Check Requirement: Criminal record and credit check, including a minimum credit score requirement, as well as verification of 10 consecutive years of employment history

About the Opportunity

Altis Recruitment is partnering with an established financial services organization to recruit a Senior Analyst, Asset Liability Management (ALM) & Market Risk for an 8-month contract. This is a senior, hands‑on Treasury opportunity focused on managing balance sheet risk across ALM, interest rate risk, liquidity, capital and market risk.

You'll step into a highly visible role working closely with Treasury leadership, internal stakeholders, external consultants and banking partners. With a structured knowledge transfer period planned, you'll have the opportunity to learn the organization's environment before independently taking ownership of key Treasury activities.

What's In It for You

You'll join a collaborative financial services environment where your technical expertise and recommendations will have meaningful visibility. This opportunity offers broad exposure across ALM, regulatory liquidity, capital management and stakeholder management, with potential for longer-term opportunities for a strong performer.

Your Responsibilities
  • You'll lead day-to-day ALM activities, with a strong focus on interest rate, structural and market risk.
  • You'll review, analyze and challenge ALM model outputs while partnering with third-party consultants supporting the modelling process.
  • You'll support regulatory liquidity and capital requirements, including LCR, NSFR, NCCF, ICAAP and ILAAP.
  • You'll analyze balance sheet exposures and contribute recommendations related to liquidity, funding, capital and hedging strategies.
  • You'll support monthly and quarterly Treasury and risk reporting, ensuring calculations and analysis are accurate and complete.
  • You'll manage relationships with external consultants, vendors and banking partners while collaborating with internal stakeholders.
Skills and Qualifications
  • 6+ years of progressive Treasury, ALM or financial risk experience, ideally within a credit union environment.
  • Strong hands‑on knowledge of asset liability management and interest rate risk.
  • Experience with LCR, NSFR, NCCF, ICAAP and ILAAP within a regulated financial institution.
  • Advanced financial modelling, data analysis and Microsoft Excel skills.
  • Working knowledge of derivatives, hedging and foreign exchange risk.
  • Post‑secondary education in Finance, Accounting or a related discipline. CFA, FRM or PRM designation, or progress toward one, is considered an asset.
  • Strong analytical, stakeholder management and communication skills, with the ability to work independently in a highly visible role.
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Position Requirements
10+ Years work experience
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