Avp, Alm and Risk Management
6 months ago
**Company Information**:
CIBC Mellon is a leading provider of asset servicing solutions to institutional investors in Canada, including multi-currency accounting, fund valuation, and investment information reporting. We are passionate about providing exceptional client service backed by our culture of innovation and success. Our outstanding employee experience will provide you with opportunities to learn and grow professionally while supporting the communities in which you live and work.
We are a diverse and dynamic workplace where employees take an active role in delivering on strategic objectives while advancing their individual career goals. We encourage innovative thinking and give our employees the support and resources they need to turn great ideas into actions.
**Position Overview**:
Reporting to the VP, Treasury Services the AVP, Asset Liability Management (ALM) and Risk Management is responsible for Treasury’s first line of defence in the ongoing assessment of identifying, measuring and managing ALM risks. Active collaboration with the Risk Management department's second line of defence. Lead risk management and reporting team covering structural interest rate, credit and liquidity risks. Responsible for implementation and ongoing management of our Treasury risk management systems.
**Responsibilities**:
- Lead, train, coach, and guide team of Treasury Risk Analysts; monitor performance, complete performance reviews and set objectives, act in a collaborative function to ensure associated company objectives are achieved as a team.
- Subject matter expert for regulatory, shareholder and internal expectations for measuring and managing interest rate risks and liquidity risks.
- Champion the ALM strategy and collaborate with the VP, Treasury Investments on investment strategy optimization across multiple years.
- Communication and presentations with internal leadership, internal committees and key stakeholders at the shareholders.
- Responsible for monthly production, changes, reviews and OSFI submissions of liquidity coverage ratio (LCR) and net cumulative cash flow (NCCF).
- Responsible for the continuous monitoring and actioning of appropriate changes necessary to manage the Company’s interest rate risk sensitivity. This monitoring will be based on market factors, multiple periods, etc.
- Responsible for implementing, updating, changing and daily management of Treasury risk systems used to monitor various operating targets and limits and control the Company’s Treasury risk exposures as outlined by regulators, internal committees and shareholders.
- Remain updated on developments in market risk management, including existing and new regulatory requirements and communicate implications to stakeholders as appropriate.
- Supervise the management of Treasury Services’ Risk Management and Risk Control Matrix (RCM) Programs.
- Oversee preparation of the monthly Asset Liability Committee (ALCO) governance report, including ongoing and continuous improvements.
**Qualifications**:
Specific Knowledge & Skills (not preferred or an asset)
- Post-graduate degree and completion of the CFA, other professional certifications and designations are an asset (CA, CMA, or MBA).
- 10 - 15 years of progressive financial services experience, minimum of 5 - 10 years in Asset Liability Management, within a banking environment.
- Asset Servicing, Custodial, Treasury, Trading, Securities Lending or Financial Services Industry based experience.
- Knowledge of regulatory and reporting requirements.
Working Conditions Unique to Job (i.e. Standard Office Environment)
**CIBC Mellon's Values**:
Get it Right Every Day: Deliver service excellence while always acting with the highest ethical standards
Put Clients at the Centre: Advocate for clients by listening, sharing knowledge, and bringing the right solutions forward
Be One Family: Challenge, empower and recognize your colleagues
Take Ownership: Speak up, speak out, and make things better
-
Senior Manager, ALM Risk
3 weeks ago
Toronto, Canada Royal Bank of Canada> Full timeJob SummarySupports senior management in the development, implementation, and communication of complex market and derivatives risk management policies and processes. Applies extensive, in-depth knowledge, skills, and practices to perform complex assignments.Job DescriptionWhat is the opportunity?The Enterprise Asset-Liability Management Risk (ALM Risk) team,...
-
Associate Director
6 months ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** Implements the finance institution’s asset/liability evaluation, especially the analysis of interest rate risk and liquidity risk, following established policies and standards. Applies extensive, in-depth knowledge, skills, and practices to perform complex assignments. **What is the Opportunity?**: **The US GRM-Balance Sheet Risk (US...
-
Associate Director
2 months ago
Toronto, Canada Royal Bank of Canada> Full timeJob SummaryRéaliser l’évaluation des actifs et des passifs de l’institution financière, plus particulièrement l’analyse du risque de taux d’intérêt et du risque de liquidité, conformément aux politiques et aux normes établies. S’appuyer sur des pratiques, des connaissances et des compétences approfondies pour réaliser des affectations...
-
Associate Alm Planning
5 months ago
Toronto, Canada Canada Life Assurance Company Full time**Job Description**: We are looking for an Associate ALM Planning and Development Manager to join our Asset Liability Management (ALM) team. The Asset Liability Management (ALM) is an integral team within the Canadian operations that has responsibility for many items. Examples include establishing investment strategies, managing ALM risks (e.g. interest...
-
Avp, Technology Risk
5 months ago
Toronto, Canada Canada Life Assurance Company Full time**Job Description**: We are looking for an **AVP, Technology Risk** The AVP, Technology Risk is a First Line of Defense role and reports to the VP, Technology Risk Governance and Control. This role will work with senior leadership in executing proactive and effective Technology and cyber risk management practices across the Digital Technology...
-
Avp, Credit Management
5 months ago
Toronto, Canada TD Bank Full time**Work Location**: Toronto, Ontario, Canada **Hours**: 37.5 **Line of Business**: Credit Management **Pay Details**: **The AVP, Credit, Asset Based Lending, C.N.A. leads a team of Directors of Credit Execution Associate Directors, and Analysts. The role contributes to the growth of the portfolio by recommending credit structures to meet the needs of...
-
Risk Analytics Client Service, Avp
5 months ago
Toronto, Canada State Street Corporation Full timeRisk Analytics Client Service, AVP **Who we are looking for** The Risk Analytics Client Service, AVP role will be responsible for the successful execution of the client service function for allocated Asset Owners and Asset Managers where we are required to provide market risk, liquidity risk, and derivative risk management services. This will involve...
-
Toronto, Canada Manulife Full timeThe Global Asset Liability Management (GALM) team plays a leadership role in the identification and management of asset/liability risks for the global general accounts of Manulife and John Hancock. Within GALM, the mandate of the North America Segment Management team is to support ALM risk management, implement both long term and tactical ALM strategies, and...
-
Associate Director
1 month ago
Toronto, Ontario, Canada Royal Bank of Canada Full timeJob SummaryRoyal Bank of Canada is seeking a highly skilled Associate Director to join our Group Risk Management team. As a key member of our team, you will be responsible for evaluating the bank's assets and liabilities, with a focus on interest rate risk and liquidity risk management. You will work closely with our Lead, US ALM Risk Management and the...
-
Avp Audit, Business Management
5 months ago
Toronto, Canada TD Bank Full time**AVP Audit, Business Management**: - 417309BR **Job Category - Primary** - Audit **Work Location** - TD Centre - TD Tower - 66 Wellington Street West **Employment Type** - Regular **City** - Toronto **Time Type** - Full Time **State** - Ontario **Hours** - 37.5 **Department Overview** - Our team of trusted Internal Audit professionals serve as the...
-
toronto, Canada Société Financière Manuvie Full timeAre you looking for unlimited opportunities to develop and succeed in a role that challenges and makes a difference? As 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 ri
-
AVP, Fraud Risk Management
3 months ago
Old Toronto, Canada TD Bank Full timeh3>AVP, Fraud Risk Management Sector: Risk Management Salary Details: We are committed to offering fair and equitable compensation to all our colleagues. li>As an executive member of the Bank’s second line of defence for fraud risk management, this position has both the accountability and the authority to challenge the work of the first line of defence in...
-
Associate Director
4 weeks ago
Old Toronto, Canada RBC Full timeJob SummaryRBC is seeking a highly skilled professional to join our Group Risk Management team as an Associate Director. In this role, you will be responsible for evaluating the assets and liabilities of our financial institution, with a focus on interest rate risk and liquidity risk management. You will work closely with our risk management team to ensure...
-
Toronto, Ontario, Canada Manulife Full timeJob Title: AVP, Global Information Risk Assurance ProgramManulife is seeking a highly skilled and experienced AVP, Global Information Risk Assurance Program to lead our Global Information Risk Assurance Program. This role will be responsible for developing and implementing a comprehensive assurance program to ensure the effectiveness of our information risk...
-
Risk Analytics Client Service, Avp
6 months ago
Toronto, Canada State Street Full timeWho we are looking for The Risk Analytics Client Service, AVP role will be responsible for the successful execution of the client service function for allocated Asset Owners and Asset Managers where we are required to provide market risk, liquidity risk, and derivative risk management services. This will involve responsibility for the daily review and...
-
Financial Services Risk Manager
6 days ago
Toronto, Ontario, Canada Royal Bank of Canada Full timeWe are seeking a highly skilled Financial Services Risk Manager to join our team at Royal Bank of Canada. As a key member of our Group Risk Management team, you will be responsible for providing independent oversight and analysis of banking book market risk and funds transfer pricing activities across our Combined US Operations.The ideal candidate will have...
-
Avp, Audit, Regulatory Compliance Management
2 months ago
Toronto, Canada TD Bank Full time**Work Location**: Canada **Hours**: 37.5 **Line of Business**: Audit **Pay Details**: **Department Overview**: **Our team of trusted audit professionals interact with every part of the Bank to provide strategic guidance and independent oversight. Through due diligence, and with a strong sense of integrity, we help mitigate potential risks to our...
-
Risk Management Senior Manager
2 weeks ago
Toronto, Ontario, Canada Royal Bank of Canada> Full timeJob OpportunityThe Enterprise Asset-Liability Management Risk (ALM Risk) team within Enterprise Balance Sheet and Liquidity Risk is RBC's second line of defense in managing Interest Rate Risk originating in the Banking Book (IRRBB). This role supports senior management in developing, implementing, and communicating complex market and derivatives risk...
-
Avp Non-financial Risk Management
5 months ago
Toronto, Canada MUFG Canada Full time**Do you want your voice heard and your actions to count?** Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), the 7th largest financial group in the world. Across the globe, we’re 120,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term...
-
Senior Consultant
5 months ago
Toronto, Canada Sia Partners Full timeJob description We are seeking a Senior Consultant to join our Toronto team for a capital markets project. This hybrid role offers the flexibility to work from either our New York or Toronto offices. Demonstrate a good understanding of liquidity reporting within ALM and respond to moderately complex functional queries. Analyze data and prepare...