Found Description
Transform market risk management at Scotiabank as the Manager in Market Risk Analytics, located in Toronto, Ontario. Your expertise in quantitative analysis will drive strategic risk initiatives and improve tools like Power BI and Tableau.
As part of the Market Risk Analytics group at Scotiabank Global Risk Management, you will assess market risk exposure through regulatory frameworks and analysis methodologies. This role is suited for candidates skilled in financial derivatives and quantitative subjects, who can effectively communicate insights and collaborate with various teams for market risk monitoring.
Key Responsibilities:
• Analyze market risk capital results with stakeholders
• Enhance analytics tools for capital-related reporting
• Support risk monitoring with improved data accuracy
• Prepare daily and periodic regulatory reports
• Assist with market risk documentation requirements
Requirements:
• Preferred Master’s degree in Finance, Economics, or s...
As part of the Market Risk Analytics group at Scotiabank Global Risk Management, you will assess market risk exposure through regulatory frameworks and analysis methodologies. This role is suited for candidates skilled in financial derivatives and quantitative subjects, who can effectively communicate insights and collaborate with various teams for market risk monitoring.
Key Responsibilities:
• Analyze market risk capital results with stakeholders
• Enhance analytics tools for capital-related reporting
• Support risk monitoring with improved data accuracy
• Prepare daily and periodic regulatory reports
• Assist with market risk documentation requirements
Requirements:
• Preferred Master’s degree in Finance, Economics, or s...
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