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Associate Director, Credit Risk Management

2 months ago


Toronto, Ontario, Canada Royal Bank of Canada> Full time

Job Summary

We are seeking an experienced Associate Director to join our Counterparty Credit Risk Exposure monitoring team at Royal Bank of Canada. As a key member of our team, you will be responsible for the daily management of our credit risk framework and will help facilitate the implementation of our stress risk framework as it pertains to derivative exposures.

Key Responsibilities

  • Monitor counterparty exposures against approved risk limits and provide oversight on the completeness and appropriateness of risk measurements.
  • Help streamline and automate improved risk monitoring practices and enhance the team's analytic capabilities to deep dive certain portfolios of interest.
  • Support development, coding efforts, and coordination of required work to properly implement appropriate exposure metrics.
  • Investigate and escalate credit limit excesses as per internal policies inclusive of Conduct Risk.
  • Develop tools to proactively identify material risk trends and counterparty concerns.
  • Perform deep dive analysis into the risk profile of specific portfolios and counterparties of concern.
  • Identify gaps in the risk capturing and reporting processes and ensure the accuracy of results.
  • Develop tools to automate processes and introduce new analytic capabilities into the reporting/analytic framework.
  • Assist in the implementation of the Derivative Stress Risk framework, including stress exposure reporting, stress sizing capabilities, analytic and reporting capabilities for stress risk, help to introduce exposure adjustment capabilities, onboard certain product types into the framework, and introduce trade coverage oversight.

Requirements

  • 3+ years of experience at a financial institution in a quantitative Risk Control function such as market or credit risk, with an understanding of capital markets trading products and related credit risk concepts.
  • Master's degree in a relevant subject such as Finance, Economics, or other quantitative discipline.
  • Good command and hands-on experience with Excel, Python, VBA programming, SQL or equivalent programming languages.
  • Strong analytical and problem-solving skills.
  • Solid verbal and written communication skills.
  • Proven organizational skills, with the ability to meet strict deadlines.

What We Offer

  • A comprehensive Total Rewards Program including bonuses and flexible benefits.
  • Leaders who support your development through coaching and managing opportunities.
  • Ability to make a difference and lasting impact.
  • Work in an agile, collaborative, progressive, and high-performing team.

Job Skills

  • Business Performance Management.
  • Investment Banking Analysis.
  • Investment Economics.
  • Investment Management Systems.
  • Investment Performance Measurement.
  • Investment Risk.
  • Investment Risk Management.
  • Market Risk.
  • Operational Risks.
  • Performance Management (PM).
  • Quality Management.
  • Risk Management.
  • Standard Operating Procedure (SOP).