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Senior Manager, Fixed Income Valuation
3 months ago
Position Overview:
As a Senior Manager in Fixed Income Valuation, you will play a pivotal role in enhancing and refining your valuation expertise within the finance sector. This position offers extensive opportunities for professional development, allowing you to engage with a diverse range of products within the Fixed Income Asset class.
Key Responsibilities:
- Ensure the accuracy of valuations for a designated trading or underwriting portfolio, establishing necessary valuation adjustments and capital reserves.
- Collaborate with various stakeholders to execute operational and strategic initiatives related to the design and development of valuation methodologies.
- Provide expert advice on the configuration and usability of data sources, data management, analytics, and reporting solutions pertinent to market data utilized for valuations.
- Act as a trusted advisor, influencing and negotiating to meet business objectives.
- Recommend and implement solutions based on thorough analysis of issues affecting the business.
- Support the development of strategic plans and identify emerging trends to guide decision-making.
- Facilitate the execution of strategic initiatives in partnership with internal and external stakeholders, including model development.
- Build and maintain effective relationships with stakeholders to ensure alignment and collaboration.
- Integrate information from various sources to enhance processes, analysis, and reporting.
- Monitor and evaluate the performance of market models, conducting stress tests to ensure robust mathematical representation.
- Promote best practices in the valuation of designated portfolios.
- Analyze strategic challenges and provide insights and recommendations regarding valuation issues.
- Develop and enforce policies for independent valuation checks and exception handling in accordance with Bank standards.
- Document and maintain operational procedures related to methodologies and reporting processes.
- Review valuation methodologies for consistency across portfolios and recommend necessary adjustments.
- Provide specialized consulting and analytical support, exercising judgment to solve complex problems.
- Work independently while managing non-routine situations, with potential for broader responsibilities as needed.
Qualifications:
- 5 to 7 years of relevant experience with a post-secondary degree in a related field or equivalent combination of education and experience.
- Degree in finance, business, or a quantitative discipline.
- Comprehensive understanding of derivative products and associated valuation and risk management methodologies.
- Strong knowledge of accounting principles and finance processes.
- Advanced quantitative analytical skills and proficiency in VBA programming.
- Exceptional verbal and written communication skills.
- Proven collaboration and team-oriented skills.
- Strong analytical and problem-solving abilities.
- Ability to make data-driven decisions.
Compensation:
The salary for this position is competitive and reflects the Bank of Montreal's commitment to providing a comprehensive compensation package, which may include performance-based incentives and various benefits.
Company Culture:
At the Bank of Montreal, we are dedicated to fostering an inclusive and equitable workplace. We believe that diverse perspectives strengthen our organization and enhance our ability to serve our customers and communities effectively.