Manager, Market Risk Measurement

3 weeks ago


Toronto, Canada TD Bank Full time

408083BR

Finance / Accounting

Toronto, ON

May 2, 2023

Company Overview

Department Overview

The Treasury and Balance Sheet Management (TBSM) department of TD Bank is responsible for overseeing the management of TD Bank’s Canadian and US P&C: non-trading market risk, consolidated liquidity risk and consolidated capital position.

Culture: TBSM prides itself on fostering a culture which focuses on development, open mindedness, sharing team successes, partnerships & value add initiatives. Emphasis is especially placed on developing our people by fostering a teaching culture & valuing diversity.
- The Balance Sheet Measurement and Projects team [BSMP] is a centralized function in TBSM responsible for completing all measurement activities relating to Non-Trading Market Risk (NTMR) and Funds Transfer Pricing (FTP). The mandate includes:

- Ensuring the accuracy, completeness and timeliness of all measurement activity contributing to the reporting from the Balance Sheet Management group. As a centralized function in TBSM, the team is responsible for driving measurement activities that provide insights on the Bank’s Segment reporting NII and NIM results and Non-Trading Market Risk Positions
- Ensure accuracy, completeness and timeliness of measurement activity that contributes to the reporting to our front office traders, Finance partners, Product Partners, Risk Management, Board, Financial Disclosures and Regulators.
- Building a best-in-class measurement & analytics infrastructure and oversight of the Non-Trading Books and Funds Transfer Pricing processes.
- Putting in place best-in-class governance processes to ensure accuracy of results.
- Ensuring all project work that impacts the broader Balance Sheet Measurement and Analytics team [BSMA] are executed in a timely manner with effective management of resources across partner projects, internal TBSM projects and major implementations.
- Develop and foster relationships with stakeholders across the bank, including other Finance functions, 2nd line and 3rd line risk functions.
- Effectively communicating our results, insights, and project delivery impacts to our stakeholders

**Job Description**:
Key Responsibilities of this position include:

- Manage the end-to-end TBSM asset and liability market risk management initiatives and projects to ensure the financial position risk metrics are accurately and completely generated.
- Maintain a good understanding of the IRRBB (Interest Rate Risk in the Banking Book) framework, the financial products valuation and its modelling choices and parameter assumptions.
- Ensure that all modelling, assumptions and limitations are understood, documented and approved for the banking book.
- Liaise closely with the Technology Support and Data Governance team to proactively resolve process/data issues and ensure strong internal process controls.
- Act as the MRMA point of contact internally during the TBSM risk system code release cycle to review the release regression testing results to ensure the impacts are well understood.
- Execute infrastructure changes with regards to implementation of new/revised framework, new products or processes and ensure that changes are executed in accordance with internal change control procedures and EUC standards.
- Display a thorough operational understanding of TBSM systems (eg: Canoe, Tableau) including change management process.
- Foster and maintain effective working relationships with business partners
- Understand and comply with TD Policies, regulatory and compliance requirements

LI-Hybrid

**Requirements**:

- Post-secondary degree
- MBA, CFA considered assets

Familiarity with:

- Principles of asset/liability management, capital markets, and how Treasury deliver value
- Superior understanding of capital market instruments including bond and interest rate derivatives.
- Superior understanding of risk measurement and valuation concepts (cash flow, PV, IRR, duration, convexity, etc.).
- TBSM processes and how they interconnect considered an asset
- The features and characteristics of retail banking products

Experience with:

- Coordinating cross functional teams to deliver key initiatives
- Managing projects, gathering & analyzing business requirements and explaining requirements to system developers
- Mapping-out/re-engineering processes and workflows, including associated change management
- Communicating with all levels of the organization, including senior management
- Simplifying complex concepts and business results in terms understandable by audiences with varied backgrounds & seniority levels

Competencies and Personal Qualities:

- Excellent interpersonal and communication skills
- Self-starter with a proven ability to meet deadlines, own initiatives, and work effectively under minimum supervision.
- Able to multitask while maintaining attention to detail with tight timelines.
- Demonstrated strong critical thinking, problem solving and analytical abilities
- Approach resp



  • Toronto, Canada TD Bank Full time

    406873BR Finance / Accounting Toronto, ON April 20, 2023 Company Overview Department Overview The Treasury and Balance Sheet Management (TBSM) department of TD Bank is responsible for overseeing the management of TD Bank’s Canadian and US P&C: non-trading market risk, consolidated liquidity risk and consolidated capital position. **Culture**: TBSM...


  • Toronto, Canada Royal Bank of Canada Full time

    **Come Work with Us!** At RBC, our culture is deeply supportive and rich in opportunity and reward. You will help our clients thrive and our communities prosper, empowered by a spirit of shared purpose. Whether you’re helping clients find new opportunities, developing new technology, or providing expert advice to internal partners, you will be doing work...


  • Toronto, Canada TD Bank Full time

    403553BR Risk Management Toronto, ON March 20, 2023 Company Overview Department Overview For TD Bank to grow profitably, it must selectively take and manage risks. TD recognizes that a strong risk culture and approach to risk management is fundamental to our success. Capital Markets Risk Management (“CMRM”) is accountable for supporting TD...


  • Toronto, Canada TD Bank Full time

    **TD Description** Stay current and competitive. Carve out a career for yourself. Grow with us. **Department Overview** For TD Bank to grow profitably, it must selectively take and manage risks. TD recognizes that a strong risk culture and approach to risk management is fundamental to our success. Capital Markets Risk Management ("CMRM") is accountable...


  • Toronto, Canada Edge Health Full time

    **Job Title: Market Risk Management Consultant** **Rate: $55/CAD** **Hybrid** **Location: Toronto, ON** **Requirements**: - Counterparty Credit Risk monitoring - Pre-settlement risk measurement framework revision in response to regulatory requirements from UK Regulatory Compliance (PRA) - Money Market risk management - Liquidity Risk - Basel III...


  • Toronto, Canada BMO Financial Group Full time

    100 King Street West Toronto Ontario,M5X 1A1 Provides market risk oversight, monitoring, and reporting for Prime Finance portfolios and activities. Develops and monitors the market risk management framework that includes the governance framework and practices leveraged across BMO to manage market risk. Provides policies and standards, methodologies, and...

  • Market Risk Analyst

    4 weeks ago


    Toronto, Canada TD Bank Full time

    **TD Description** Stay current and competitive. Carve out a career for yourself. Grow with us. **Department Overview** For TD Bank to grow profitably, it must selectively take and manage risks. TD recognizes that a strong risk culture and approach to risk management is fundamental to our success. Capital Markets Risk Management ("CMRM") is accountable...

  • Market Risk Analyst

    6 days ago


    Toronto, Canada TD Bank Full time

    **Work Location**: Toronto, Ontario, Canada **Hours**: 37.5 **Line of Business**: Risk Management **Pay Details**: **Department Overview** **For TD Bank to grow profitably, it must selectively take and manage risks. TD recognizes that a strong risk culture and approach to risk management is fundamental to our success.** **Capital Markets Risk Management...


  • Toronto, Canada CIBC Full time

    We’re building a relationship-oriented bank for the modern world. We need talented, passionate professionals who are dedicated to doing what’s right for our clients. At CIBC, we embrace your strengths and your ambitions, so you are empowered at work. Our team members have what they need to make a meaningful impact and are truly valued for who they are...


  • Toronto, Canada TD Bank Full time

    **TD Description** Stay current and competitive. Carve out a career for yourself. Grow with us. **Department Overview** - A World-Class, Diverse, Inclusive and Forward Thinking Risk Management Team - Curious, creative, innovative, independent. Do any of these attributes describe you? If so then you may be perfectly suited for our team. The rapid pace of...

  • Market Risk Analyst

    4 weeks ago


    Toronto, Canada TD Bank Full time

    406715BR Risk Management Toronto, ON April 19, 2023 Company Overview Department Overview The Market Risk team is responsible for an independent oversight of enterprise wide market, counterparty credit and liquidity risk while ensuring all significant risks and results are measured and reported. Our professionals thrive in providing guidance to business...

  • Market Risk Analyst

    4 weeks ago


    Toronto, Canada TD Bank Full time

    **TD Description** Stay current and competitive. Carve out a career for yourself. Grow with us. **Department Overview** The Market Risk team is responsible for an independent oversight of enterprise wide market, counterparty credit and liquidity risk while ensuring all significant risks and results are measured and reported. Our professionals thrive in...


  • Old Toronto, Canada Zortech Solutions Full time

    Requirements Capital Markets project implementation – essential (especially Fixed Income, Money Market and Equities related projects) Strong Risk management knowledge (must be currently CFA/ FRM/ PRMIA certified)Analysis, data mapping and reporting – must have Be able to work independently without constant supervision– must haveAt least 5-6 years of...


  • Old Toronto, Canada Zortech Solutions Full time

    Requirements Capital Markets project implementation – essential (especially Fixed Income, Money Market and Equities related projects) Strong Risk management knowledge (must be currently CFA/ FRM/ PRMIA certified)Analysis, data mapping and reporting – must have Be able to work independently without constant supervision– must haveAt least 5-6 years of...


  • Toronto, Canada CB Canada Full time

    Risk Analyst On behalf of our client in the Banking Sector, PROCOM is looking for a Risk Analyst. Risk Analyst – Job Description Monitoring the risk management and profit and loss exposures for North American fixed income and derivatives markets The main function of a Risk Analyst is to analyze and manage risk management issues by identifying, measuring,...

  • Manager, Credit Risk

    4 weeks ago


    Toronto, Canada Canada Infrastructure Bank Full time

    Headquartered in Toronto, the Canada Infrastructure Bank (the CIB) is responsible for investing in new infrastructure projects. The CIB’s mission is to work with provincial, territorial, municipal, federal, Indigenous and private sector investor partners to transform the way infrastructure is planned, financed and delivered in Canada. An exciting and...

  • Digital Marketing

    2 weeks ago


    Greater Toronto Area, Canada Stratatek Test & Measurement Full time

    **Company Details**: Stratatek Test and Measurement is a leader in Selling, Calibrating, and Servicing Electrical Equipment in all areas of Test and Measurement. We offer New and Used Sales, Rental Equipment, Service, and Calibration for all Test Equipment needs. With exceptional business growth and supportive culture, Stratatek is a great place to grow your...


  • Toronto, ON, Canada Hyundai Capital Full time

    Manager, Residual Value Risk - ( 24000034 ) Who We Are: Hyundai Capital Canada (HCCA) is the Canadian captive finance business for Hyundai Motor Group. We go to market under the service brands Hyundai Motor Finance, Kia Motors Finance and Genesis Finance. Through a network of over 400 Hyundai and Kia dealerships nationwide, we provide indirect vehicle...


  • Toronto, ON, Canada Hyundai Capital Canada Full time

    Who We Are: Hyundai Capital Canada (HCCA) is the Canadian captive finance business for Hyundai Motor Group. We go to market under the service brands Hyundai Motor Finance, Kia Finance and Genesis Finance. Through a network of over 450 Hyundai and Kia dealerships nationwide, we provide indirect vehicle financing and leasing solutions to consumers and...


  • Toronto, ON, Canada Hyundai Capital Canada Full time

    Who We Are: Hyundai Capital Canada (HCCA) is the Canadian captive finance business for Hyundai Motor Group. We go to market under the service brands Hyundai Motor Finance, Kia Finance and Genesis Finance. Through a network of over 450 Hyundai and Kia dealerships nationwide, we provide indirect vehicle financing and leasing solutions to consumers and...