Market Risk Analyst at Laurentian Bank (Toronto)

Market Risk Analyst at Laurentian Bank (Toronto)

02 Aug
|
Laurentian Bank
|
Toronto

02 Aug

Laurentian Bank

Toronto

Join Laurentian Bank as an Analyst, Market Risk, applying your financial expertise in a hybrid work model. Focus on evaluating financial products and managing investment portfolio risks every day.
This role is ideal for those with a Master’s degree in finance and two years of relevant experience in risk management. You will perform rigorous market risk analyses, ensure data accuracy, and develop monitoring models to support treasury and capital market activities. Your skills in programming and databases will augment your contributions to complex valuation modeling and process improvement initiatives.
Key Responsibilities:
• Conduct daily market risk analyses for financial products
• Gather and verify market data from various systems
• Collaborate on monitoring models tailored to manager needs




• Participate in determining fair valuations of financial products
• Formulate recommendations for improving work processes
Requirements:
• Master’s degree in finance or related field
• Two years of experience in risk management or financial markets
• Excellent knowledge of databases and programming
• Proficiency in English and French, written and spoken
• Solid communication and analytical skills
Utilize your financial acumen in risk evaluation and support successful treasury operations at Laurentian Bank.
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📌 Market Risk Analyst at Laurentian Bank (Toronto)
🏢 Laurentian Bank
📍 Toronto

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