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Manager, Enterprise Model Risk Management
2 weeks ago
Job Description
What is the opportunity?
As Manager, Enterprise Model Risk Management, you will validate (replicate, benchmark, backtest, and apply other techniques as applicable) FX and commodity derivative pricing and risk models used for financial and regulatory (RMR, FRTB) reporting for RBC trading activities.
The ideal candidate will help to identify and escalate material issues related to model risk, and provide consultancy to model stakeholders with respect to potential technical solutions to these issues and designing model performance monitoring frameworks.
What will you do?
Take ownership of assigned models to provide effective testing and oversight of model risk while ensuring that validation activities are completed in an efficient manner.
- Timely deliver required work products: validation reports, technical documents and testing code and tools.
- Streamline and automate validation tests as much as feasible.
- Identify and articulate model limitations and inconsistencies across models and escalate inconsistencies to management.
- Provide consultancy to Market Risk, Finance and Global Valuations regarding technical model issues and independent price verification issues.
What do you need to succeed?
Must-have
- Graduate degree in quantitative areas, such as Mathematics, Physics, Computer Science, Engineering, Finance, Financial Engineering and Economics.
Broad exposure to and excellent knowledge of derivative pricing models and risk management methodology
Experienced in computational techniques, including Monte Carlo simulation, numerical and analytic solution of partial differential equations.
Strong programming skills: C/C++, Python proficiency.
Strong communication and interpersonal skills.
Previous work experience in mathematical modeling in a similar or related role, such as a model developer or validator, a front office quant, a risk quant, or a risk manager, most preferably in a large financial institution.
Nice-to-have
FRM or PRM certification, CFA Charter Holder.
What's in it for you?
We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. We care about each other, reaching our potential, making a difference to our communities, and achieving success that is mutual.
Leaders who support your development through coaching and managing opportunities
Work in a dynamic, collaborative, progressive, and high-performing team
Opportunities to do challenging work
Job Skills
Benchmarking, C++ Programming Language, Communication, Critical Thinking, Derivatives Pricing, Finance, Financial Engineering, Financial Instruments, Group Problem Solving, Market Risk, Mathematical Finance, Model Risk, Quantitative Methods, Risk Management, ValidatorsAdditional Job Details
Address:
ROYAL BANK PLAZA, 200 BAY ST:TORONTOCity:
TorontoCountry:
CanadaWork hours/week:
Employment Type:
Full timePlatform:
GROUP RISK MANAGEMENTJob Type:
RegularPay Type:
SalariedPosted Date:
Application Deadline:
Note: Applications will be accepted until 11:59 PM on the day prior to the application deadline date above
Inclusion and Equal Opportunity Employment
At RBC, we believe an inclusive workplace that has diverse perspectives is core to our continued growth as one of the largest and most successful banks in the world. Maintaining a workplace where our employees feel supported to perform at their best, effectively collaborate, drive innovation, and grow professionally helps to bring our Purpose to life and create value for our clients and communities. RBC strives to deliver this through policies and programs intended to foster a workplace based on respect, belonging and opportunity for all.
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