Position Overview
A major financial services institution with presence in multiple countries.
What you must bring to this role
- 7-10 yearsβ experience in commercial banking, risk management, risk advisory in financial services or professional services.
- Post-secondary education in finance, accounting, math or business. Working towards FRM, CPA, CIA or CFA would be an asset.
- Sound, practical knowledge of credit risk and portfolio management strategies ; foreign exchange trading, derivative products, FI/money markets and stress testing.
- Strong knowledge of leading industry practices related to risk management in financial institutions - enterprise, credit, market, liquidity, operational and other key risks areas.
- Knowledge and understanding of applicable regulatory requirements, expectations and business impacts.
- Strong analytical skills to interpret complex data and comm...