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Market Risk Senior Specialist
3 months ago
Location:
Canada
Working Hours:
37.5
Industry:
Risk Management
Position Overview:
The Senior Market Risk Analyst plays a crucial role in supporting the bank's risk appetite by offering expert guidance within the Market Risk FRTB team. This involves thorough analysis and reporting, while ensuring timely escalation of any issues that may arise.
Key Responsibilities:
- Challenge and advocate for projects aimed at enhancing operational efficiencies to provide superior business support.
- Comprehend system and model modifications, their outcomes, and implications for market risk capital processes. Take ownership and critically assess process designs to ensure effective and efficient implementation of changes.
- Establish a robust review and evaluation process for output quality, adhering to business standards. Cultivate an environment that encourages the team to escalate concerns efficiently to mitigate risks while complying with Market Risk standards and Process Risk and Controls Self-Assessments.
- Assist in identifying innovative opportunities and drive these initiatives forward.
- Enhance analytical capabilities and business acumen, developing the necessary skills for current and future challenges while proactively addressing emerging risks.
- Collaborate with business partners, sharing knowledge and identifying opportunities to leverage complementary skills. Work alongside stakeholders to facilitate change and support the bank's objectives.
- Maintain a comprehensive understanding of the analytical principles underpinning the new capital requirements in FRTB, including challenges related to modeling financial instruments and risk factors.
- Provide leadership, direction, and empowerment to the team, alongside management. Mentor analysts through cross-training and indirect coaching, leading by example and serving as the primary resource for daily processes and ad-hoc tasks.
- Participate in the recruitment process by assisting management in identifying high-caliber candidates who will integrate seamlessly into the team.
Required Skills and Competencies:
- Relevant experience in the industry, liquidity, or risk management, along with appropriate accreditation.
- Ability to develop and mentor team members through cross-training initiatives.
- Demonstrated strategic thinking, problem-solving, and analytical skills; capable of understanding the broader context in a complex environment through sound judgment.
- Strong written and verbal communication skills, along with interpersonal abilities to facilitate collaboration with colleagues at all organizational levels.
- Capacity to thrive in a fast-paced environment while managing multiple deadlines and priorities.
- Proactive and highly motivated individual, enthusiastic about process improvements and willing to take initiative.
- Independent thinker with the ability to learn and adapt quickly, seizing opportunities and minimizing challenges.
- Positive and cooperative individual capable of working independently and effectively within a team.
- Strong conceptual skills and meticulous attention to detail.
- High commitment to delivering quality work.
- Solid understanding of risk management, governance compliance, and control practices.
- Experience with Market Risk measurement and reporting, including concepts such as VaR, Stress Testing, and FRTB.
- Knowledge of financial instruments, regulations, and market risk metrics, acquired through academic study or practical experience.
- Strong grasp of the Regulatory and Compliance environment.
- Familiarity with risk, valuations, and reporting systems is an asset.
- Proficiency in Microsoft applications.
- Programming skills in VBA, Python, or SQL are advantageous for developing, modifying, and enhancing the risk management infrastructure used for risk analysis.
- Undergraduate or graduate degree in Risk Management, Business, Economics, Mathematics, Finance, Engineering, Physics, Computer Science, or other quantitative disciplines.
- Pursuit or completion of CFA/FRM is a plus.