Current jobs related to Market Risk Manager - Old Toronto, Ontario - Société Financière Manuvie

  • Market Risk Manager

    1 month ago


    Old Toronto, Ontario, Canada TD Full time

    Job Title: Market Risk ManagerTD is seeking a highly skilled Market Risk Manager to join our team. As a Market Risk Manager, you will be responsible for providing market risk oversight and reporting across risk sensitivities, VaR, and Stress for the credit trading businesses.Key Responsibilities:Manage and supervise a team of market risk analysts responsible...

  • Market Risk Manager

    1 month ago


    Old Toronto, Ontario, Canada TD Full time

    Job Title: Market Risk ManagerTD is seeking a highly skilled Market Risk Manager to join our team. As a Market Risk Manager, you will be responsible for providing market risk oversight and reporting across risk sensitivities, VaR, and Stress for the credit trading businesses.Key Responsibilities:Manage and supervise a team of market risk analysts responsible...

  • Market Risk Manager

    1 month ago


    Old Toronto, Ontario, Canada TD Full time

    Job Title: Market Risk ManagerWe are seeking a highly skilled Market Risk Manager to join our team at TD. As a key member of our Market Risk group, you will be responsible for providing market risk oversight and reporting across risk sensitivities, VaR, and Stress for the credit trading businesses.Key Responsibilities:Manage and supervise a team of market...

  • Market Risk Manager

    1 month ago


    Old Toronto, Ontario, Canada TD Full time

    Job Title: Market Risk ManagerWe are seeking a highly skilled Market Risk Manager to join our team at TD. As a key member of our Market Risk group, you will be responsible for providing market risk oversight and reporting across risk sensitivities, VaR, and Stress for the credit trading businesses.Key Responsibilities:Manage and supervise a team of market...

  • Market Risk Manager

    3 weeks ago


    Old Toronto, Ontario, Canada Manulife Full time

    Job Title: Market Risk ManagerManulife Bank of Canada is seeking a seasoned finance professional to join our Treasury Team as a Market Risk Manager. In this role, you will play a critical part in helping us maximize profitability while ensuring key risks are effectively managed and remain within our risk appetite.Key Responsibilities:Develop and implement...

  • Market Risk Manager

    3 weeks ago


    Old Toronto, Ontario, Canada Manulife Full time

    Job Title: Market Risk ManagerManulife Bank of Canada is seeking a seasoned finance professional to join our Treasury Team as a Market Risk Manager. In this role, you will play a critical part in helping us maximize profitability while ensuring key risks are effectively managed and remain within our risk appetite.Key Responsibilities:Develop and implement...

  • Market Risk Manager

    3 weeks ago


    Old Toronto, Ontario, Canada Manulife Insurance Malaysia Full time

    Job SummaryWe are seeking a highly skilled Market Risk Manager to join our Treasury Team at Manulife Bank of Canada. As a key member of our team, you will be responsible for managing market risks and ensuring that our bank's risk appetite is met.Key ResponsibilitiesDevelop and implement sound theoretical approaches to Funds Transfer Pricing (FTP) for...

  • Market Risk Manager

    4 weeks ago


    Old Toronto, Ontario, Canada Manulife Insurance Malaysia Full time

    Job SummaryWe are seeking a highly skilled Market Risk Manager to join our Treasury Team at Manulife Bank of Canada. As a key member of our team, you will be responsible for managing market risks and ensuring that our bank's risk appetite is met.Key ResponsibilitiesDevelop and implement sound theoretical approaches to Funds Transfer Pricing (FTP) for...


  • Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job DescriptionThe Manager, Client Experience plays a critical role in ensuring the delivery of exceptional insurance brokerage services to clients. As the primary point of contact, they foster strong relationships, guarantee customer satisfaction, and provide strategic support to the sales and marketing efforts.Key ResponsibilitiesOversee the delivery of...


  • Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job DescriptionThe Manager, Client Experience plays a critical role in ensuring the delivery of exceptional insurance brokerage services to clients. As the primary point of contact, they foster strong relationships, guarantee customer satisfaction, and provide strategic support to the sales and marketing efforts.Key ResponsibilitiesOversee the delivery of...


  • Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job DescriptionThe Manager, Client Experience plays a critical role in ensuring the delivery of exceptional insurance brokerage services to clients. As a key point of contact, they foster strong relationships with clients, prioritize their needs, and drive customer satisfaction.Key Responsibilities:Oversee the development and implementation of client-centric...


  • Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job DescriptionThe Manager, Client Experience plays a critical role in ensuring the delivery of exceptional insurance brokerage services to clients. As a key point of contact, they foster strong relationships with clients, prioritize their needs, and drive customer satisfaction.Key Responsibilities:Oversee the development and implementation of client-centric...


  • Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job DescriptionThe Manager, Client Experience plays a critical role in ensuring the delivery of exceptional insurance brokerage services to clients. As a key point of contact, they foster strong relationships with clients, prioritize their needs, and drive customer satisfaction.Key Responsibilities:Oversee the development and implementation of client-centric...

  • Market Risk Manager

    3 weeks ago


    Toronto, Ontario, Canada Ontario Teachers Pension Plan Full time

    Opportunity OverviewWe are seeking a highly skilled Principal to join our Developed Markets Rates & FX team at Ontario Teachers Pension Plan. This role will be a key contributor to the team's risk-taking efforts, responsible for monitoring the Developed Markets Rates & FX markets and identifying opportunities for growth.Key ResponsibilitiesMonitor and...

  • Market Risk Manager

    3 weeks ago


    Toronto, Ontario, Canada Ontario Teachers Pension Plan Full time

    Opportunity OverviewWe are seeking a highly skilled Principal to join our Developed Markets Rates & FX team at Ontario Teachers Pension Plan. This role will be a key contributor to the team's risk-taking efforts, responsible for monitoring the Developed Markets Rates & FX markets and identifying opportunities for growth.Key ResponsibilitiesMonitor and...

  • Market Risk Manager

    2 weeks ago


    Toronto, Ontario, Canada Ontario Teachers Pension Plan Full time

    We are seeking a seasoned professional to join our Developed Markets Rates & FX team as a Principal. This role will be responsible for monitoring the DM Rates & FX markets, identifying key trends and risks, and contributing to the team's risk-taking efforts.Key Responsibilities:Monitor and analyze DM Rates & FX markets to identify key trends and...


  • Old Toronto, Ontario, Canada OPTrust Full time

    Investment Manager, Capital Markets and RiskAbout the RoleThe Investment Manager, Capital Markets and Risk, will work in a dynamic environment amongst a small group of highly skilled investment professionals making investment decisions and managing risk in uncertain environments. The Capital Markets and Risk group is responsible for all capital markets...


  • Old Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job Title: Insurance Brokerage ManagerCavell Risk, Inc. is seeking a highly skilled Insurance Brokerage Manager to oversee the delivery of high-quality insurance brokerage services to clients. As a critical point of contact, you will manage relationships and ensure customer satisfaction while supporting sales and marketing efforts.Key Responsibilities:Manage...


  • Old Toronto, Ontario, Canada Cavell Risk, Inc. Full time

    Job Title: Insurance Brokerage ManagerCavell Risk, Inc. is seeking a highly skilled Insurance Brokerage Manager to oversee the delivery of high-quality insurance brokerage services to clients. As a critical point of contact, you will manage relationships and ensure customer satisfaction while supporting sales and marketing efforts.Key Responsibilities:Manage...


  • Toronto, Ontario, Canada Validus Risk Management Full time

    Job Title: Digital Marketing AssociateValidus Risk Management is seeking a skilled and driven Digital Marketing Associate to play a key role in driving business growth across North America and Europe. In this position, you will develop and manage digital campaigns and build a robust client acquisition engine to support future growth.Key...

Market Risk Manager

2 months ago


Old Toronto, Ontario, Canada Société Financière Manuvie Full time
About the Role

The Manager, Market Risk Management position at Société Financière Manuvie offers an opportunity for an experienced finance and treasury professional to take their career to the next level, helping to maximize the profitability of the bank while ensuring key risks are effectively managed and remain within the bank's risk appetite.

Key Responsibilities
  • Develop and Implement Market Risk Management Strategies: Develop a sound theoretical approach to Funds Transfer Pricing (FTP) for Société Financière Manuvie and lead the implementation of key models, develop reports, documentation, and training to further embed FTP in all decision-making processes.
  • Manage Interest Rate Risk in the Banking Book (IRRBB): Help to lead IRRBB management accountabilities, including day-to-day management and oversee the models used to calculate economic value of equity (EVE) and net interest income (NII) risks.
  • Provide Market Risk Insights and Recommendations: Update, review, and develop commentary for the monthly ALCO report, and attend ALCO meetings to brief the senior leadership team on key developments related to market risk.
  • Review and Recommend Policy and Procedure Updates: Review and recommend policy and procedure updates, as well as modeling assumptions and approaches, to the treasury leadership team and ALCO.
  • Stay Up-to-Date with Regulatory Requirements: Research and provide recommendations process/policy changes related to key OSFI and other regulatory standards related to market risk, including (but not limited to) OSFI Guideline B-12 and the OSFI Liquidity Adequacy Requirements (LAR) guideline.
  • Support Treasury Operations and Funding Activities: Provide backup coverage to analysts responsible for monthly market risk management reporting and mentor analysts to develop their technical knowledge of market risk management concepts.
  • Engage with Financial Risk Oversight Team: Engage with the Financial Risk Oversight team and support internal and external auditors to ensure that key policies, procedures, and modelling assumptions are subject to appropriate review and oversight.
  • Drive Operational Efficiencies: Promote timely, data-driven decisions both within the Treasury Team and the larger bank by driving operational efficiencies through automation using key technologies (Excel, VBA, SQL, Python).
  • Support Strategic Initiatives: Drive strategic initiatives that will expand the bank's product and service offerings.
Requirements
  • Education: Undergraduate degree in Finance, Economics, Accounting, or another quantitative field.
  • Experience: Previous experience in managing market risks within the banking sector is required, along with a strong theoretical knowledge of, and prior experience implementing FTP systems.
  • Designations: CFA and/or FRM designation would be considered a significant asset.
  • Skills: Proficiency in data analytics using advanced Excel features, and programming/coding skills (e.g. SQL, Power Apps, Python) would be considered a strong asset.
  • Personal Qualities: A great teammate with a proven ability to effectively manage internal relationships by collaborating within the department and across business units.
  • Business Acumen: Strong business acumen with a good understanding of the business environment in order to provide meaningful analysis and recommendations to the Treasury leadership team and ALCO.