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Senior Analyst in Treasury Investment Risk
Job Description & How to Apply Below
As a key player in Vancity's risk management team, you will independently assess investment risks including spread, funding, and correlation risks. This position emphasizes your analytical skills, solid judgment, and the ability to provide constructive challenges in a dynamic financial landscape. By actively monitoring market exposures and leading the enhancement of risk frameworks, you will fortify balance-sheet resilience and influence critical business decisions.
Key Responsibilities:
• Oversee investment risks particularly for Treasury portfolios
• Develop market risk models including VaR and stress testing
• Monitor daily market activities and compliance with limits
• Design and improve Treasury risk methodologies and reporting
• Produce risk dashboards for ALCO and management
Requirements:
• Master’s degree in finance, Economics, or related field
• 5+ years in Treasury or market risk management
• Expertise in VaR methodologies and stress testing
• Skilled in Bloomberg AIM for trade monitoring
• Strong judgment on complex risk matters
Leverage your analytical abilities and risk expertise to make a significant impact at Vancity.
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Position Requirements
10+ Years
work experience
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