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Financial Risk Manager

1 week ago


Halifax, Nova Scotia, Canada Atlantic Central and League Savings and Mortgage Full time
About the Role

We are seeking an experienced Financial Risk Manager to join our team. As a key member of our Finance and Treasury department, you will be responsible for managing treasury risk, including asset-liability management (ALM), interest rate risk management (IRR), liquidity management, investment portfolio management, and financial modeling and analysis.

Responsibilities:
  1. Manage ALM practice, including balance sheet modeling, analysis, back testing, and forecast reporting.
  2. Develop annual budget for net interest income and perform monthly forecast analysis of financial margin against budget.
  3. Report on IRR results and compliance, and execute policy control and strategies by analyzing related metrics including Earning at Risk (EAR) and Financial Position (FP).
  4. Execute strategies to minimize negative impacts to the financial margin and to mitigate or manage interest rate risk, including proposing and implementing derivative strategies.
  5. Support development of business cases by providing input to financial models, interest rate and scenario analysis, as required.
  6. Perform liquidity reporting, forecasting, and risk management, execution of policy control and strategies.
  7. Maintain compliance with existing and new liquidity regulatory requirements, including CUDIC requirements on Liquidity Coverage Ratio (LCR) and Liquidity Crisis Management Plan (LCMP) for the Atlantic Central Provincial System.
  8. Develop annual Liquidity Management Plan and Contingency Funding Plan (CFP) and make recommendations to Management and the Board as necessary. Collaborate with divisional managers regarding operations that impact liquidity.