Manager, Financial Risk and Valuation at PwC
4 days ago
Toronto ON, Toronto Census Division, ON; Ontario, Canada
PwC Canada
Full-time
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Become a Manager in Financial Risk and Valuation at PwC Canada, where you’ll lead projects on financial instruments valuation and market risk strategies. Work in a dynamic environment to solve complex client issues.
You will guide teams on valuation processes for instruments like debt derivatives, conduct market research, and assist clients in developing risk models. This role offers a unique opportunity to engage with various sectors, enhancing your understanding of financial markets and regulatory requirements.
Key Responsibilities
• Lead valuation assignments for complex financial instruments
• Collaborate on model validation for market and liquidity risk
• Provide expert advice on hedging strategies
• Conduct research on industry trends and methodologies
• Support GenAI solution development for clients
Requirements:
• Relevant experience with financial instruments and derivatives
• Proficiency in programming languages like Python or R
• Understanding of commodity and interest rate risks
• Strong background in quantitative fields
• Ability to mentor junior team members and collaborate Drive impactful results and refine your financial expertise with PwC Canada. #J-18808-Ljbffr
Key Responsibilities
• Lead valuation assignments for complex financial instruments
• Collaborate on model validation for market and liquidity risk
• Provide expert advice on hedging strategies
• Conduct research on industry trends and methodologies
• Support GenAI solution development for clients
Requirements:
• Relevant experience with financial instruments and derivatives
• Proficiency in programming languages like Python or R
• Understanding of commodity and interest rate risks
• Strong background in quantitative fields
• Ability to mentor junior team members and collaborate Drive impactful results and refine your financial expertise with PwC Canada. #J-18808-Ljbffr