Found Description
Lead a dynamic team in Toronto as a Director, focusing on market risk exposure in FX and Collateral Management. Collaborate with trading management to ensure risks are understood and reported accurately. As a Director within a purpose-driven organization, you'll oversee market risks and collaborate closely with trading teams.
You will manage a team of risk professionals, ensuring effective communication and adherence to the Bank's risk appetite. Your expertise will guide new product recommendations and limit changes to senior management.
Key Responsibilities
- Oversee market risk exposures and communicate findings
- Review daily risk reports and engage with the business
- Recommend on new product proposals and limit requests
- Foster proactive communication with trading groups
- Advise on valuation reserve adjustments and methodologies
Requirements
- Quantitative undergraduate degree with a Master's p...
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