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CAN - Risk Analyst III - 54844

Toronto, ON
  • Number of positions available : 1

  • To be discussed
  • Contract job

  • Starting date : 1 position to fill as soon as possible

Risk Analyst III - 54844


Duration: 1 year

Extension possible: possible

Conversion Possible: possible


Interview Process: 2 rounds

Work Location (Remote, Hybrid or Both?): 66 Wellington Street West

Hybrid- Wed and Thurs in Office


CANDIDATE PROFILE DETAILS:

Degree/Certifications Required: Bachelor Degree in a finance related field. CFA/FRN./

Years of experience: 2 to 3 years

% Interaction with Stakeholders: working w/ different stakeholders (counterparties/ internal teams).

Project Scope: no, BAU

Team Size: 6 people

SUMMARY OF DAY TO DAY RESPONSIBILITIES:

An Analyst within Collateral Management will primarily be focused on the effective and efficient mitigation of counterparty credit risk. Analysts are responsible managing counterparty credit risk as well as for demonstrating innovation and a proactive approach to risk mitigation by highlighting inefficiencies, risks and implementing improvements.

MUST HAVE:

1.) At least 2 to 3 years of capital market experience or relevant collateral management experience

2.) Strong communication skills

3.) Strong analytical skills and attention to detail.


NICE TO HAVE

Python

Previous exp w/ client interaction

CFA/FRM


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Requirements

Level of education

undetermined

Work experience (years)

undetermined

Written languages

undetermined

Spoken languages

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