Market Risk
3 weeks ago
Operational Risk & Resilience Management (ORRM) is an independent risk function tasked with ensuring that operational risks are appropriately managed and aligned with our risk appetite. The department oversees the measurement, monitoring, control, and reporting of risks through established policies, procedures, and standards. Reporting to the Global Head of Operational Risk & Resilience Management, this role leads the oversight and challenge across all operational risk categories for group functions such as HR, Marketing, Procurement, Compliance, Legal, Actuarial, and Finance.
- Oversee adherence to the operational risk management framework and resilience approach, including associated policies and standards.
- Collaborate with Segment ORRM, IRM, Compliance, Legal, Ops, and Tech 1B colleagues for global processes, projects, or change initiatives impacting multiple segments.
- Provide ongoing support for operational risk metrics, engaging with business partners for data collection, reviewing results, and challenging performance/outcomes.
- Promote a strong risk culture and oversee relevant risk culture assessment processes.
- Manage direct reports and foster their development.
- Minimum 9-11 years of experience in operational risk management with strong knowledge of operational processes, risks, and controls.
- High proficiency in MS Office Products and data analytics tools such as PowerBI is a plus.
- University undergraduate degree with a relevant professional designation preferred.
- Experience with PowerBI and other data analytics tools.
- We’ll recognize and support you in a flexible environment where well-being and inclusion are more than just words.
-
Market Risk
2 weeks ago
Old Toronto, Canada Manulife Full timeAs the AVP of Group Functions ORR M, you will play a pivotal role in ensuring that operational risks across our business activities and processes are managed in alignment with our risk appetite. This role contributes to our mission by providing independent oversight and guidance, thereby helping our customers achieve their dreams and aspirations within a...
-
Digital Marketing Specialist
4 weeks ago
Toronto, Ontario, Canada Validus Risk Management Full timeJob Title: Digital Marketing AssociateValidus Risk Management is seeking a skilled and driven Digital Marketing Associate to play a key role in driving business growth across North America and Europe. In this position, you will develop and manage digital campaigns and build a robust client acquisition engine to support future growth.Key...
-
Digital Marketing Associate
4 weeks ago
Toronto, Canada Validus Risk Management Full timeValidus Risk Management is seeking a skilled and driven Digital Marketing Associate to join our team. Reporting to the Head of Marketing (UK-based), you will play a key role in driving business growth across North America and Europe. In this position, you will develop and manage digital campaigns and build a robust client acquisition engine to support future...
-
Associate Director, Market Risk
1 month ago
Old Toronto, Canada HOOPP Thames Limited Full timeAssociate Director, Market Risk Apply Locations: Toronto, Ontario, Canada Time Type: Full time Posted On: Posted 4 Days Ago Job Requisition ID: JR101824 Why you’ll love working here: High-performance, people-focused cultureCommitment to equity, diversity, and inclusion as fundamental to our work environment and business successLearning and development...
-
Associate Director, Market Risk
1 month ago
Old Toronto, Canada HOOPP Thames Limited Full timeh3>Associate Director, Market Risk Apply Locations: Toronto, Ontario, Canada Time Type: Full time Posted On: Posted 4 Days Ago Job Requisition ID: JR101824 Why you’ll love working here: High-performance, people-focused cultureCommitment to equity, diversity, and inclusion as fundamental to our work environment and business successLearning and development...
-
Old Toronto, Canada RBC Full timep>Job SummaryThe Director, Market, Counterparty Credit, Liquidity and Model Risk Policy will provide senior level advice and support for the provision of governance and risk oversight with responsibility for the development, maintenance and communication of market, counterparty credit, liquidity and model risk as well as other relevant risk policy documents,...
-
Market Risk Senior Analyst
1 week ago
Old Toronto, Canada TD Bank Full timeh3>Senior Market Risk Analyst Lieu de travail: Gestion des risques Détails de la rémunération:Establish appropriate review and assessment of the quality of outputs based on business standards. Foster an environment which allows the team to escalate matters effectively and efficiently to mitigate risk, while adhering to Market Risk standards and Process...
-
Customer Support Specialist
2 weeks ago
Toronto, Canada RISK Full time**Company Description** RISK inc: An International iGaming Company Pushing the Boundaries of Entertainment** **Who We Are**: An international iGaming company specializing in identifying and fostering the growth of high-potential entertainment markets. With 600+ professionals in 20+ locations, we operate in 10 countries, serving over 300,000...
-
Investment Manager, Capital Markets and Risk
4 weeks ago
Old Toronto, Ontario, Canada OPTrust Full timeInvestment Manager, Capital Markets and RiskAbout the RoleThe Investment Manager, Capital Markets and Risk, will work in a dynamic environment amongst a small group of highly skilled investment professionals making investment decisions and managing risk in uncertain environments. The Capital Markets and Risk group is responsible for all capital markets...
-
Director, Private Markets Investment Risk
2 months ago
Old Toronto, Canada HOOPP Thames Limited Full timeDirector, Private Markets Investment RiskWhy you’ll love working here:high-performance, people-focused cultureour commitment that equity, diversity, and inclusion are fundamental to our work environment and business success, which helps employees feel valued and empowered to be their authentic selveslearning and development initiatives, including...
-
Director, Private Markets Investment Risk
2 months ago
Old Toronto, Canada HOOPP Thames Limited Full timeDirector, Private Markets Investment RiskWhy you’ll love working here:high-performance, people-focused cultureour commitment that equity, diversity, and inclusion are fundamental to our work environment and business success, which helps employees feel valued and empowered to be their authentic selveslearning and development initiatives, including...
-
Manager, Market Risk
3 weeks ago
Toronto, Canada Scotiabank Full timeRequisition ID: 209955 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. As part of Scotiabank Global Risk Management, the Market Risk group is at the forefront of managing the Bank's market risk capital and stress testing program in response to current regulatory & market changes and risk management...
-
Market Risk Manager
4 weeks ago
Toronto, Ontario, Canada Ontario Teachers Pension Plan Full timeWe are seeking a seasoned professional to join our Developed Markets Rates & FX team as a Principal. This role will be responsible for monitoring the DM Rates & FX markets, identifying key trends and risks, and contributing to the team's risk-taking efforts.Key Responsibilities:Monitor and analyze DM Rates & FX markets to identify key trends and...
-
Market Risk Analyst
5 months ago
Toronto, Canada TD Bank Full time**Work Location**: Toronto, Ontario, Canada **Hours**: 37.5 **Line of Business**: Risk Management **Pay Details**: **Department Overview** **Market Risk is responsible for managing the ever-changing and dynamic world of trading and non-trading market risk, counterparty credit, margin management, liquidity risk and model development. Market Risk is...
-
Market Risk Analyst
4 weeks ago
Toronto, Ontario, Canada BMO Financial Group Full timeBMO Financial Group is seeking a highly skilled Market Risk Analyst to join their team on a 6-month contract. The successful candidate will be responsible for providing accurate and complete market risk measurements and maintaining operational processes and procedures.The ideal candidate will have a strong understanding of market risk calculations, Excel,...
-
Old Toronto, Canada TD Bank Full timeJob Title: Senior Vice President of Market Risk and DeliveryJob Summary:We are seeking a highly experienced Senior Vice President of Market Risk and Delivery to join our team at TD Securities. As a key member of our leadership team, you will be responsible for providing executive leadership over Market Risk projects and driving the delivery vision and...
-
Risk Analyst
5 months ago
Toronto, Canada INTECH Risk Management Inc. Full timeINTECH Risk Management Inc., an award-winning team of insurance risk management consultants, is looking for a Risk Analyst (Insurance Broker) to join our Risk and Insurance Services team in Toronto, Canada. The Risk Analyst (Insurance Broker) will serve as a key support in the provision of outsourced insurance and risk management services to clients in North...
-
Market Risk Analyst
5 months ago
Toronto, Canada TD Bank Full time**Market Risk Analyst**: - 424622BR **Job Category - Primary** - Risk Management **Work Location** - TD Centre - TD Tower - 66 Wellington Street West **Employment Type** - Regular **City** - Toronto **Time Type** - Full Time **Province/State** - Ontario **Hours** - 37.5 **Workplace Model** - Hybrid **Pay Details** **Department Overview** - Market...
-
Associate Director, Market Risk Analytics
3 weeks ago
Old Toronto, Canada Royal Bank of Canada Full timeJob SummaryResponsible for the development of Basel 3 Endgame across market risk, counterparty credit risk, and Comprehensive Capital Analysis and Review (CCAR). Ongoing maintenance of Fundamental Review of the Trading Book (FRTB) under multi-jurisdictions (e.g., OSFI). This includes ensuring that the model's underlying methodologies are appropriate and that...
-
Associate Director, Market Risk Analytics
3 weeks ago
Old Toronto, Canada Royal Bank of Canada Full timeJob SummaryResponsible for the development of Basel 3 Endgame across market risk, counterparty credit risk, and Comprehensive Capital Analysis and Review (CCAR). Ongoing maintenance of Fundamental Review of the Trading Book (FRTB) under multi-jurisdictions (e.g., OSFI). This includes ensuring that the model's underlying methodologies are appropriate and that...