Description
As an analyst in the Strategic Risk & Portfolio Management team within the Corporate & Investment Banking (CIB) team at National Bank, you will provide specialized support for identifying, analyzing, assessing, and reporting on the strategic risks associated with Corporate and Investment Banking (CIB) portfolio.
You will be responsible for carrying out detailed qualitative and quantitative analysis to provide the information needed to assess the level risk associated with the composition, infrastructure and oversight of the CIB portfolio, and for a given initiative. Your responsibilities will include broad support across all CIB industries and sectors as required, including helping assess the risks and opportunities of expanding into new segments.
You will evolve in a team of highly motivated professionals, collaborate and learn about a broad range of capital markets products. This position appeals to individuals who are interested in pursuing a career in an entrepreneurial, fast paced and high-energy environment.
Your Job:
Your Team:
You will be joining a newly created and expanding team, reporting under the Managing Director & Head, Strategic Risk & Portfolio Management, Corporate & Investment Banking. This role is not focused on specific client relationships or analysis but rather CIB-level activities and initiatives and will provide an excellent opportunity to better understand how the business works. You will have access to colleagues with a wide range of expertise, experience, and backgrounds to enrich all aspects of your development. We promote a team-player attitude, collaboration, curiosity, and continuous learning.
Prerequisites:
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You will be responsible for carrying out detailed qualitative and quantitative analysis to provide the information needed to assess the level risk associated with the composition, infrastructure and oversight of the CIB portfolio, and for a given initiative. Your responsibilities will include broad support across all CIB industries and sectors as required, including helping assess the risks and opportunities of expanding into new segments.
You will evolve in a team of highly motivated professionals, collaborate and learn about a broad range of capital markets products. This position appeals to individuals who are interested in pursuing a career in an entrepreneurial, fast paced and high-energy environment.
Your Job:
- Perform financial and statistical analysis to quantify the expected risks and benefits of various strategic initiatives
- Working closely with the other members of the team and the broader CIB group, design dashboards and reporting to provide insights into various portfolios, including ad hoc analytics for executive consumption
- Research and present various topics such as emerging risks, product considerations, and regulatory environments
- Support the coordination and maintenance of Sharepoint sites that provide access to the CIB team on relevant risk issues and best practices
- Perform scenario and sensitivity analysis
Your Team:
You will be joining a newly created and expanding team, reporting under the Managing Director & Head, Strategic Risk & Portfolio Management, Corporate & Investment Banking. This role is not focused on specific client relationships or analysis but rather CIB-level activities and initiatives and will provide an excellent opportunity to better understand how the business works. You will have access to colleagues with a wide range of expertise, experience, and backgrounds to enrich all aspects of your development. We promote a team-player attitude, collaboration, curiosity, and continuous learning.
Prerequisites:
- Undergraduate Degree in Finance, Economics, Business Administration, Engineering, Accounting, or other relevant field.
- Professional designation completed or in process, (e.g. CPA, CFA) considered an asset
- Knowledge of corporate and investment banks and risk management, or a willingness to learn
- Advanced proficiency in Microsoft Office (Excel, Word, Access and PowerPoint). Knowledge of the broader Microsoft Suite (SharePoint, PowerApps, etc.), as well as experience with Bloomberg and Capital IQ would be considered an asset
- Ability to organize data and parse and analyze complex data sets with a demonstrated problem-solving mindset
- Excellent communication and writing skills with an ability to present ideas in a concise and well-structured manner
- Self-starter and ambitious, with a strong work ethic