to join our dynamic Model Risk Management (MRM) team. This is your chance to dive deep into the models that power our most critical... are robust, reliable, and ready for the future. If you're passionate about the intersection of data science, finance, and risk...
Job Description What is the opportunity? The Senior Manager, Collateral Risk Analytics is a strategic role... associated potential incremental risk, to support business objective of improving model usage while maintaining a risk-based...
solutions to clients within their Sales & Trading, Risk Management, Finance, Treasury, and Operations & Technology functions.... In Finance & Risk Management, experience in Capital and/or Liquidity Reporting is strongly preferred. Responsibilities...
solutions to clients within their Sales & Trading, Risk Management, Finance, Treasury, and Operations & Technology functions.... In Finance & Risk Management, experience in Capital and/or Liquidity Reporting is strongly preferred. At all levels and varying...
XVAs in the Market Risk Analytics (MRA) model validation team. Key Responsibilities : The objective of this position... will ensure communication with all clients of the MRA model validation team (FO Quants, Traders, Risk Manager) and follow the...
stakeholders across Finance, Retail Risk, Model Risk, Business Segments, and Corporate Treasury End-to-end project management...Job Description What is the opportunity? RBC is hiring a Manager of Stress Testing Analytics. This role...
and model risk management. Financial/Interest Rate Derivative Analytics – Support the design and implementation of analytics... institution. In addition, you have 3+ years experience in quantitative analytics in areas of valuation, hedging and risk...
line of business (LOB), finance, risk and governance. Primary Accountabilities Responsible for the development... and lifecycle management of PPNR models for the wholesale businesses, consistent with the Bank's Model Risk Management Framework...
businesses, Global Risk Analytics, Market Risk, Risk IT, and Finance to ensure counterparty credit risk capital is complete..., Quantitative Methods, Regulatory Capital, Requirements Analysis, Risk Analytics, Risk Management Additional Job Details Address...
Risk & Counterparty Analytics team in Toronto. This is a 9-month contract opportunity with strong potential for extension... to the Group Manager II, Regulatory Reporting, you will play a critical role in ensuring accurate risk measurement, analysis...
details for this role. Job Description: Job Description Reporting to the Senior Manager – Analytics & Information Management – the... partners. Liaison with a variety of teams (TBSM, Capital, Risk, Finance) to understand changes to financial variables...
. Education: Bachelor degree in Commerce, Finance, Mathematics, Engineering, Economics, or related quantitative field. MBA, CFA... analytics, actionable insights, decision support, and rigorous accountability. The role supports both Regulated and Competitive...
departments that execute private deals. You will also collaborate with other stakeholders in Finance, legal, Tax and Risk... of risk mitigation, operational efficiency, and scalability Balance the needs of the deal teams, Finance function...
including Finance, Front Office Trading teams and Enterprise/Market Risk (including Model Validation..., Market Risk and Finance on VA/IPV results. Proactively communicate with Front Office and/or related counterparties...
's Toronto Bay-Adelaide office in an in-person working model (4 days a week). Our Valuations - Dispute Advisory Services Team..., shareholder agreements, share purchase agreements, etc.); Conducting industry and economic research that drives model assumptions...
required. A Master's degree or higher in a quantitative field such as quantitative finance, mathematics, statistics, data science... towards Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM) is an asset. Total Rewards The salary range...
required. A Master’s degree or higher in a quantitative field such as quantitative finance, mathematics, statistics, data science... towards Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM) is an asset. Total Rewards The salary range...