
Manager/Senior Manager, Financial Risk Management
- Montreal, QC
- Permanent
- Full-time
What you will doYou will work closely with the Partner responsible for the risk management practice on large-scale projects and contribute to business development. The incumbent will:
- Lead daily work on assignments related to capital markets and market/investment risk management.
- Conduct quantitative work related to modeling and measuring market risk.
- Work on multiple assignments simultaneously, potentially involving several partners.
- Prepare detailed reports presenting the execution approach, observations, and recommendations.
- Coordinate the execution of various risk management projects to add value.
- Review analyses and deliverables produced by the execution team to ensure their quality.
- Prepare service proposals to meet the business needs of clients.
- Deliver presentations to potential clients and participate in conferences as part of business development.
- Complete work within potentially tight and challenging deadlines, which may lead to additional work.
- 5 to 10 years of relevant experience.
- Valuation of derivative products.
- Ex-post analysis of risk quantification models (backtesting).
- Capital impact analyses using standard and advanced methodologies.
- Sensitivity calculations for financial derivative instruments (Greeks).
- Calibration of risk factors and estimation of parameters for quantitative models.