Market Risk Associate
2 weeks ago
**Role Type**:
Undergraduate
**Work Location**:
Toronto, Ontario, Canada
**Hours**:
37.5
**Pay Details**:
75000.00 - 75000.00 CAD
**DEPARTMENT OVERVIEW**
We are Market Risk. While we don't actually predict the future, we do like to think we get pretty close.
The Market Risk team is responsible for the independent measurement, monitoring and challenge of enterprise-wide market risk, liquidity risk, and counterparty credit risk, as well as collateral management activities in support of the Risk Appetite of TD. We have a global presence with teams in Toronto, Calgary, New York, Singapore, Dublin and London. TD recognizes that a strong risk culture and equable approach to risk management is fundamental to our success.
**JOB DESCRIPTION**
**About the Program**
The Market Risk Rotational Program is an immersive 24-month program designed to help you step into the world of risk management. The goal of the program is to help you develop leadership skills and better understand, administer and deliver practices to achieve the highest level of risk management.
If you’re a natural problem solver, relish large datasets and have a keen eye for risk thresholds, we want you to be part of our leadership rotational program.
In this program you’ll rotate* across the Market Risk businesses every six months:
- Market Risk
- Liquidity Risk
- Value at Risk (VaR) Reporting and Stress Testing
- Collateral Management
- Counterparty Credit Risk Reporting
- Governance
- Market Risk Control
- We align rotation opportunities with our business strategies to ensure you work on the most important priorities.
**What You’ll Do**
No matter where you work at TD you'll make a meaningful impact, grow your skills and thrive in our culture of care. Here's what that means as a Market Risk associate:
**Make an Impact**:
- Perform reporting and monitoring accurately and in a timely manner
- Investigate, escalate and resolve exceptions in accordance with Risk policies
- Prepare analysis and commentary on the business and market drivers; present findings to management and stakeholders
- Execute controls to mitigate operational risk and perform ad hoc analysis, as required
**Experience Growth**:
- Work alongside a high-performing team of risk professionals to broaden and deepen your understanding of risk disciplines
- Collaborate and communicate with the team to meet deliverables and deadlines
- Investigate, escalate and resolve operational issues as required
- Receive one-on-one coaching and mentorship from business leaders throughout your two-year program
**Cultivate our Culture of Care**:
- Connect with senior management and gain experience from experts at the top of their game
- Interact with other Associates to share learnings and network within the organization
**JOB REQUIREMENTS**
**What You Need to Succeed**
We’re proud to work with a group of diverse colleagues. If you have relevant experience that isn’t mentioned below, tell us about it in your resume or cover letter.
- Ability to organize, analyze and understand large data sets
- Ability to summarize and communicate complicated results and/or issues in a clear, concise and timely manner
- Can manage multiple deadlines and priorities in a fast-paced and complex environment while maintaining attention to detail
- Strong desire to learn new things and develop an end-to-end understanding of processes
- Ability to work effectively within a team, with other teams and independently to meet business objectives
- Keen interest in the risk management field and capital markets
- Desire to work in a caring, respectful and inclusive environment where all employees are supported
**ADDITIONAL INFORMATION**
**Educational Requirements**
Must be graduated between May 2023 and May 2025 with a Bachelor's degree in Business, Economics, Mathematics, Finance or other relevant discipline
**Program Location and Start Date**
**Applications must include**:
- Transcripts
- Cover letter, including an explanation of how the Market Risk Associate Program fits within your career aspirations (one letter-sized page or less)
- Resume (maximum of 2 pages)
**HOURS**
Monday-Friday, standard business hours
**INCLUSIVENESS**
At TD, we are committed to fostering an inclusive, accessible environment, where all employees and customers feel valued, respected and supported. We are dedicated to building a workforce that reflects the diversity of our customers and communities in which we live and serve. If you require an accommodation for the recruitment/interview process (including alternate formats of materials, or accessible meeting rooms or other accommodation), please let us know and we will work with you to meet your needs.
**Who We Are**
TD is one of the world's leading global financial institutions and is the fifth largest bank in North America by branches/stores. Every day, we deliver legendary customer experiences to over 27 million households and businesses in Canada, the United States and aroun
-
Associate Director, Enterprise Market Risk
6 months ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** **What is the opportunity?** The role of Associate Director, Enterprise Market Risk Regulatory Capital Reporting & Analysis is to ensure that all market risk regulatory capital reporting is provided to all stakeholders in a timely and accurate manner, with commensurate analytical insight and appropriate communication. The Associate Director...
-
Risk Analyst
1 week ago
Toronto, Ontario, Canada Royal Bank of Canada Full timeUnlock Your Potential as a Risk AnalystWe are seeking a highly motivated and detail-oriented Risk Analyst to join our team in Toronto, Ontario. As a Risk Analyst, you will play a critical role in ensuring the accuracy and timeliness of market risk exposures reporting.About the OpportunityThis is an exciting opportunity for a student to gain valuable work...
-
Market Risk Analyst
6 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**: **The Market Risk team is responsible for an independent oversight of enterprise wide market, counterparty credit and liquidity risk. This team ensures all significant risks and results are measured and reported. Our...
-
Senior Market Risk Professional
2 weeks ago
Toronto, Ontario, Canada Royal Bank of Canada Full timeJob SummaryWe are seeking a highly skilled Senior Market Risk Professional to join our team in Toronto, Canada. As an Associate Director/Product Owner, you will play a key role in supporting the systems and applications used for Counterparty Credit Risk (CCR) measurement.
-
Director, Investment Risk
4 weeks ago
Old Toronto, Canada Risk & Insurance Management Society Inc Full timeFull-timeJob Location: Toronto or MontrealAt Fiera CapitalWe invest in creating a culture of purpose that makes our people feel valued, cared for, seen, and heard.Our approach to employee experience is tailored to your needs and ambitions:Your Inclusive Experience: We are committed to cultivating an inclusive, safe, and trusting work environment.Your Growth...
-
Market Risk
2 months ago
Old Toronto, Canada Société Financière Manuvie Full timeAs the AVP of Group Functions ORRM, 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...
-
Associate Director, Market Risk
2 months ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** **What is the Opportunity?** We are looking for a bright, committed, high-performing individual to become a key contributor to market risk management. We are a team that prices itself for high quality work with significant impact across the bank and continuous interaction with other groups and senior management. **What will you do?** -...
-
Risk Manager, Enterprise Market Risk Regulatory
4 months ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** Develops and implements global risk management reports, systems, and processes to accurately report and explain market risk capital metrics. Applies experience, knowledge, skills, and practices to perform a variety of assignments. **What is the opportunity?** The role of Risk Manager, Enterprise Market Risk Regulatory Capital Reporting &...
-
Toronto, Canada CPP Investments Full timeCompany Description Make an impact at a global and dynamic investment organization When you invest your career in CPP Investments, you join one of the most respected and fastest growing institutional investors in the world. With current assets under management valued in excess of $500 billion, CPP Investments is a professional investment management...
-
Associate, Credit Risk
6 months ago
Toronto, Canada Canada Infrastructure Bank Full timeHeadquartered in Toronto, the Canada Infrastructure Bank (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. Reporting to the Head of...
-
Manager, Treasury Market Risk
6 months ago
Toronto, Canada Scotiabank Full timeRequisition ID: 195877 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. The Treasury Market Risk team provides self-governing oversight of the Bank’s structural balance sheet risks (Interest Rate Risk, FX, Investment Portfolios) as well as of the trading activity and hedging strategies executed by...
-
Associate Director, Group Risk Management
6 months ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** As part of the Group Risk Management (GRM) team, the Associate Director, Wholesale Credit Risk, will provide risk assessment and adjudication for complex Capital Markets transactions. As trading and lending credit risk is the predominant form of credit risk that RBC incurs with respect to Asset Manager Sponsors and Financial Market...
-
Associate - Credit Risk
6 months ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** Group Risk Management-Wholesale Credit Risk (GRM - WCR) group is responsible for assessing credit exposures of trading and lending activities for complex Capital Markets transactions; coverage is organized by geography and aligned by industry. The GRM - WCR Funds team manages exposure to North American Investment Managers and Fund...
-
Customer Support Specialist
2 months 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...
-
Manager, Private Markets Risk
4 months ago
Toronto, Canada OPTrust Full timeManager, Private Markets Risk Department: Investment Risk Type: Permanent Location: Toronto Posting Date: August 22, 2024 At OPTrust, _paying pensions today, preserving pensions for tomorrow_ is our mission and business. When you choose OPTrust, you join a team of smart, talented people who fuel our success and have a passion for pensions. Everyone at...
-
Strategic Risk Management Leader
2 weeks ago
Old Toronto, Canada Risk & Insurance Management Society Inc Full timeOverviewFiera Capital is seeking a highly skilled and experienced Director of Investment Risk to join its team. Reporting to the Global Chief Compliance and Investment Risk Officer, the successful candidate will play a critical role in enhancing and executing a robust quantitative and qualitative focused investment risk framework.About the RoleThe Director...
-
Associate, Operational Risk
4 weeks ago
Toronto, Canada BMO Financial Group Full time100 King Street West Toronto Ontario,M5X 1A1 BMO Capital Markets is a leading, full-service financial services provider. We offer corporate and investment banking, treasury management, as well as research and advisory services to clients around the world. #bmocapitalmarkets We are hiring **two **Associate positions for the following Operational Risk &...
-
Associate Director, Gra Risk Methodology
4 weeks ago
Toronto, Canada Royal Bank of Canada Full time**Job Summary** The Associate Director is responsible for methodologies related to market risk, counterparty credit risk and new emerging risks. This includes model specification, implementation, performance monitoring, documenting and presenting of these methodologies. GRA (Global Risk Analytics) Risk Methodology team has primary responsibility for risk...
-
Model Validation Quantitative Associate- Market Risk
6 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...
-
Toronto, Ontario, Canada Royal Bank of Canada Full timeAbout UsRoyal Bank of Canada (RBC) is a leading financial institution with a strong presence in the global market. Our team is dedicated to providing innovative solutions and exceptional service to our clients.Job SummaryThis role involves working closely with the Lead, ALM Risk Management to oversee banking book market risk and funds transfer pricing...