Valuations Manager
Royal Bank of Canada View all jobs
- Toronto, ON
- Permanent
- Full-time
- Conducting daily, weekly and monthly IPV and VA calculation relating to various Equity related products, including derivatives (e.g. listed and OTC vanilla options (call/put), variance swaps, dividend swaps, exotic options, equity-linked notes, etc.). Coverage will include Canada, US, EMEA and APAC markets, across global Equity desks at RBC.
- Leverage and develop knowledge of equity markets, products and quantitative background to evaluate IPV results and support resolution of IPV difference. Ensure IPV issues outside accepted tolerances are reported and dealt with promptly.
- Explore market data sources for the best measure of fair value for the financial instruments in scope (i.e. equity derivatives).
- Ensure that existing VA/IPV processes continue to be aligned and keep pace with a growing Equities business, and Regulator and Accounting Best Practice.
- Provide detailed reports and analysis to RBC regional valuations committees, business heads, senior managers and heads of Valuations, Market Risk and Finance on VA/IPV results.
- Proactively communicate with Front Office and/or related counterparties to explain IPV/VA results and/or month over month movement. Lead the coordination of solutions in partnership with Product Controllers, Front Office, Market Risk and other internal groups.
- Develop new and enhance existing Valuation policies, including methodology and procedure documentation and sources of external market data, ensure that all VA/IPV processes are complete and follow RBC’s risk policies and procedures.
- Challenge existing IPV methodologies, working practices and improve data quality and process efficiencies to ensure a robust and up-to-date control environment.
- Appreciation of equity markets and an understanding of equity derivatives, their inputs and effects on valuation. Relevant experience in a Product Control role focusing on Equities is an advantage.
- Ability to independently problem solve, work under a high pressure setting and have a strong attention to detail.
- Good written and verbal communication skills.
- Knowledge of Bloomberg, Markit/Totem and other financial analytics platform is a plus.
- Advanced user of Excel/VBA with an enthusiasm to adopt other technology to advance controls (e.g. Python, AI).
- Knowledge of Python and database tool such as SQL.
- Advanced degree in a quantitative area.
- Knowledge of Bloomberg, Markit/Totem and other financial analytics platform.
- A comprehensive Total Rewards Program including bonuses and flexible benefits, competitive compensation, commissions, and stock where applicable
- Leaders who support your development through coaching and managing opportunities
- Ability to make a difference and lasting impact
- Work in a dynamic, collaborative, progressive, and high-performing team
- A world-class training program in financial services
- Flexible work/life balance options
- Opportunities to do challenging work