
Senior Risk Manager, Trading Credit Risk
- Toronto, ON
- Permanent
- Full-time
- Apply Counterparty Credit Risk Expertise – You will cultivate and apply broad knowledge of the Trading Credit Risk, including a deep understanding of the interaction between Counterparty Credit Risk, OTC Derivatives products, Securities Financing, and key regulatory capital measures. Keep up to date with pertinent regulatory requirements and new product knowledges.
- Represent the Team – You will ensure that the business leadership perceives the TCR Exposure & Capital team as added value and the first point of contact for their businesses through the development of new tools/methods and the efficient delivery of solutions to day-to-day problems relating to credit risk. Assist the trading floor on the successful execution of transactions through prioritization and utilization of credit and capital. Provide accurate and timely measurement of all relevant contingent credit risk – at a transaction and counterparty portfolio level to help facilitate credit adjudicator decisions. You will be the intermediation point between Relationship Management (CCP), Credit Risk Management Adjudication and trading floor personnel on credit facilities by ensuring that facilities are set up to reflect the various dimensions of risk appetite.
- Forward and Strategic Thinking – Identify area to enhance counterparty credit risk measurements and processes, work closely among Trading Credit Team, Credit Solution team and Quantitative Risk team for measurement system and reporting enhancement. Provide credit expertise and guidance to Senior Management within Risk Management and various members in the trading room on specific portfolios and counterparties, assist in the introduction and success of new product categories and new transactions that satisfy business and client needs.
- You can demonstrate experience. Familiarity with methodologies for quantifying and analyzing market and credit risks and in-depth knowledge of OTC derivatives products (FX, IR, Credit, Equities and Commodities). Proficiency in Microsoft Excel VBA, SQL database and Python. Experience delivering presentations to an audience.
- You can demonstrate knowledge. Understanding of key finance/investment management concepts as well as strong skills in analytical research and pricing/statistical modeling.
- It's an asset. Practical trading and/or risk analysis experience is an asset. A FRM designation is an asset. Knowledge of regulatory requirements pertaining to the Counterparty Credit Risk is an asset.
- You have a degree. In quantitative finance, mathematics, and/or related discipline.
- You give meaning to data. You enjoy investigating complex problems and making sense of information. You communicate detailed information in a meaningful way.
- You’re goal oriented. You’re motivated by accomplishing your goals and delivering your best to make a difference.
- You're motivated by collective success. You know that teamwork can transform a good idea into a great one. You know that an inclusive team that enjoys working together can bring a vision to life.
- You know that details matter. You notice things that others don't. Your critical thinking skills help to inform your decision making.
- Values matter to you. You bring your real self to work and you live our values – trust, teamwork and accountability.