Senior Analyst, Risk

4 days ago


Montreal, Canada National Bank Full time

Attendance On-Site Job number 29605 Category Intermediate Professional Status: Permanent State Quebec Type of Contract Permanent Country Canada Schedule: Full-Time  Full Time / Part Time? Full-Time Posting date 03-Dec-2025 Area(s) of interest: Financial markets and treasury Location(s): Montreal As a Senior analyst in the Strategic Risk & Portfolio Management team within the Corporate & Investment Banking (CIB) team at National Bank, you will focus on risk & capital optimisation solution to manage risk, improve portfolio return and reduce cost of capital.You will be responsible for carrying out detailed quantitative analysis, evaluate optimal portfolio mix, run sensitivity analysis, identify opportunities for managing limit and capital more efficiently.Your responsibilities cover the overall CIB portfolio, which is diversified among multiple industries and sectors, as required you will also need to interact with external partners such as Market, Credit risk modelling teams and capital group among others.You will evolve in a team of highly motivated professionals, collaborate and learn about a broad range of capital markets products. This position appeals to individuals who are interested in pursuing a career in an entrepreneurial, fast paced and high-energy environment.Your job:Under the supervision of Managing Director Risk & Capital solutions, you will be involved in the implementation and on-going support of our securitization transactions and solution for portfolio optimizationThis includes the following tasks related to the management and execution of securitized transaction or other portfolio optimisation solution:Build, implement and run financial quantitative credit models and provide reporting required by external parties or regulatorsWork with the MD Risk & Capital solutions and risk partners to satisfy the risk management, valuation and quantitative strategy needs including but not limited to portfolio structuring for securitization.Work with the technology teams to develop and improve the trading and risk management platforms supporting our transactions.Work with loan portfolio managers to build financial pricing, risk models and various tools for the bank’s loan portfolio.Work with bank capital group and help answer question from regulators in relation to any transaction managed within the teamInteract with risk counterparts to develop requirements including data, modelling and technology needs.You will be working closely with the other members of the team and other internal partners and external investorsYour Team:You will be joining a dynamic and expanding team, reporting under to the Managing Director Risk & Capital Solution who report to the Head Strategic Risk & Portfolio Management.This role is not focused on specific client relationships but looks at managing and optimising the CIB portfolio for future growth and will involve multiple interaction with different internal partners and some exposure to external parties such as regulators or investors.The role will provide an excellent opportunity to better understand how the business works. You will have access to colleagues with a wide range of expertise, experience, and backgrounds to enrich all aspects of your development. We promote a team-player attitude, collaboration, curiosity, and continuous learning.Prerequisites:Master’s or Ph.D. in Finance, Mathematics, Business Engineering, Computer programming or another relevant field.Professional designation completed or in process, (e.g. CPA, CFA) considered an assetStrong foundation in stochastic calculus, Monte Carlo simulations, and numerical methods.Advanced proficiency in Excel and Power BI and other Microsoft Office (Word, Access and PowerPoint). Knowledge of the broader Microsoft Suite (SharePoint, PowerApps, etc.)Knowledge of credit risk management and underlying parameters (PD,LGD,EAD), knowledge of corporate and investment banks an assetAbility to organize data and parse and analyze complex data sets with a demonstrated problem-solving mindsetExcellent communication and writing skills with an ability to present ideas in a concise and well-structured mannerSelf-starter and ambitious, with a strong work ethic Languages: English, French Skills Press space or enter keys to toggle section visibility Capital Markets Due Diligence Model Making Multitasking Risk Assessment Teamwork Detail-oriented Initiative Learning Agility Active collaboration Active listening Stakeholder listening Your benefits In addition to competitive compensation, upon hiring you’ll be eligible for a wide range of flexible benefits to help promote your wellbeing and that of your family.    * Health and wellness program, including many options * Flexible group insurance * Generous pension plan * Employee Share Ownership Plan * Employee and Family Assistance Program * Preferential banking services * Opportunities to get involved in community initiatives * Telemedicine service * Virtual sleep clinic    These are a few of the benefits available to you. We have an offer that keeps up with trends as well as your needs and those of your family.    Our dynamic work environments and cutting-edge collaboration tools foster a positive employee experience. We actively listen to employees’ ideas. Whether through our surveys or programs, regular feedback and ongoing communication is encouraged.   We're putting people first We're a bank on a human scale that stands out for its courage, entrepreneurial culture, and passion for people.   Our mission is to have a positive impact on peoples' lives. Our core values of partnership, agility, and empowerment inspire us, and inclusivity is central to our commitments. We offer a barrier-free workplace that is accessible to all employees.     We want our recruitment process to be fully accessible. If you require accommodation, feel free to let us know during your first conversations with us. We welcome all candidates What can you bring to our team?    Come live your ambitions with us Une carrière en tant que ConseillerAs a Senior Legal Advisor in the Legal


  • Senior Insurance

    6 days ago


    Montreal, Canada CAE Full time

    A leading aviation company in Montreal is seeking a Senior Insurance Analyst. This role will involve managing the corporation’s insurance programs and monitoring operational risks. The ideal candidate should have 7 to 10 years of experience in the insurance industry, certifications such as CIP or CRM, and strong bilingual communication skills in French and...


  • Montreal, Canada CAE Inc Full time

    A leading technology company in Montreal is seeking a Senior Insurance Analyst to assist in managing the corporation's insurance programs and monitoring operational risks. The ideal candidate should have 7 to 10 years of experience in the insurance industry, proficiency in both French and English, and advanced knowledge of the Office Suite. Responsibilities...

  • Senior Risk

    6 days ago


    Montreal, Canada National Bank of Canada Full time

    A leading financial institution in Montreal seeks a Senior Analyst for Risk & Portfolio Management. This position requires a Master’s or Ph.D. in a relevant field and expertise in quantitative credit models and credit risk management. Responsibilities include collaborating with internal teams to enhance risk management solutions and developing financial...


  • Montreal, Canada National Bank of Canada Full time

    Senior Analyst, Risk & Portfolio Management Join to apply for the Senior Analyst, Risk & Portfolio Management role at National Bank of Canada. As a Senior analyst in the Strategic Risk & Portfolio Management team within the Corporate & Investment Banking (CIB) team at National Bank, you will focus on risk & capital optimisation solutions to manage risk,...


  • Montreal, Canada BFL Canada Full time

    We offer more than a job, we offer a career! We support our employees to shape their career by encouraging continuing education and investing in training and development. We put our employees at the center of what we do to allow them to grow personally and professionally, with projects and challenges that are motivating and rewarding. We inspire people to do...


  • Montreal, Canada BFL CANADA Full time

    Senior Analyst – National Practice Executive Risks Join Senior Analyst – National Practice Executive Risks at BFL CANADA. This role is located in our Montreal office and supports the growth of our national executive risk insurance portfolio. We offer more than a job; we offer a career! We support career development through continuing education and...

  • risks analyst

    6 days ago


    Montreal, Canada Pomerleau Full time

    Apply for the Risks Analyst role at Pomerleau. What You Will Do Model risks through quantitative risk analysis related to costs and schedule risk analysis for the bidding, development, and execution phases Participate in quantitative risk analysis to enrich the risk register and support risk assessments Assist the Risk Manager in implementing standardized...

  • Senior Credit Risk

    2 days ago


    Montreal, Canada Société Générale Assurances Full time

    Senior Credit Risk Risks Permanent contract Montreal, Quebec, Canada Hybrid Reference 25000IVS Start date 2025/12/01 Publication date 2025/10/07 Responsibilities ABOUT THE JOB:Global Banking and Advisory (GLBA) combines recognized wholesale coverage with world-class product, financing, and advisory expertise within one team, enabling us to best support our...

  • Senior Risk Analyst

    6 days ago


    Montreal, Canada Alcoa Full time

    A leading aluminum company is seeking a Senior Risk Analyst in Montreal. This role involves modernizing risk analytics and embedding insights into decision-making. Candidates should have 5–10 years in operational risk management, advanced data analytics skills, and the ability to collaborate across functions. The position offers a competitive compensation...


  • Montreal, Quebec, Canada National Bank of Canada Full time

    As a Senior analyst in the Strategic Risk & Portfolio Management team within the Corporate & Investment Banking (CIB) team at National Bank, you will focus on risk & capital optimisation solution to manage risk, improve portfolio return and reduce cost of capital.You will be responsible for carrying out detailed quantitative analysis, evaluate optimal...