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Associate Director, Special Loans and Advisory Services, Capital Markets

2 months ago


Toronto, Ontario, Canada Royal Bank of Canada Full time
Job Summary

As a key member of the Group Risk Management team, the Associate Director will provide critical support to Special Loans and Advisory Services, Capital Markets, in core risk management activities. This includes financial analysis, risk rating, reporting, team data management, and adjudication to enhance the efficiency and effectiveness of credit risk operations. Additionally, the Associate Director will directly manage a portfolio of less complex workout files under the supervision of MD & Directors.

Key Responsibilities
  • Assist in assembling relevant materials, data, and initial analysis to support core SLAS activities.
  • Maintain team datasets for all assigned accounts, including financials, external ratings, and reports.
  • Manage shared drives, team folders, and SharePoint.
  • Compile reports and analyze financial statements, ratings reports, and industry-specific research.
  • Prepare Quarterly and Annual Reviews on names managed by SLAS, CM.
  • Assist in timely and consistent preparation of materials to support risk rating activities, including annual and interim reviews, credit comments, and indicative Borrower Risk Ratings.
  • Input data into GRMs risk rating and reporting applications as required.
  • Monitor business and financial performance through daily analysis of financial and industry information, regulatory events, and external rating agency movements.
  • Work with financial models, including income, balance sheet, and cash flow statements, breakeven analysis, enterprise valuation, and multivariable sensitivity testing.
  • Participate in client conference calls and meetings, including financial advisors and legal counsel.
  • Collaborate with GRM Risk Managers and Business Partners in Corporate Banking, Capital Markets, Credit Transaction Management, and Global Trading Client Management.
  • Support the team by assembling all data and relevant materials to support timely execution of major work flows and other duties as assigned.
Requirements
  • 5+ years of Risk Management, Account Management, or Workout/Restructuring experience.
  • Minimum Bachelor's degree in a related field, such as Finance, Economics, or Business Administration.
  • Demonstrated financial modeling and analytical skills.
  • Strong communication, interpersonal, and teamwork skills.
What We Offer
  • A comprehensive Total Rewards Program, including bonuses and flexible benefits.
  • Leaders who support your development through coaching.
  • The opportunity to make a lasting impact and contribute to the success of our clients and communities.
  • A dynamic, collaborative, and progressive work environment.
  • Opportunities to take on progressively greater accountabilities and do challenging work.