Market Risk Manager At Pwc Toronto

Market Risk Manager At Pwc Toronto

02 Aug
|
PwC Canada
|
Toronto

02 Aug

PwC Canada

Toronto

Advance your career at PwC as a Market Risk Manager specializing in financial instruments valuation. Lead projects focused on model validation and risk management strategies for diverse industries.
As a key player in our Assurance team, you will manage valuations of various financial instruments, including derivatives and structured products. This managerial role requires expertise in risk modeling and the development of creative GenAI solutions for client needs across sectors like energy, mining, and manufacturing.
Key Responsibilities:
• Lead valuation projects for complex financial instruments
• Assist clients with model development and validation
• Advise on risk management and hedging strategies




• Conduct market research on valuation methodologies
• Prepare client presentations and proposals
Requirements:
• Experience in financial instrument/derivatives valuation
• Proficiency in programming with MATLAB, Python, or R
• Knowledge of interest rate, commodity, or counterparty credit risks
• Solid academic background in Math or Statistics
• Excellent communication skills for diverse audiences
Unlock your expertise in financial risk management while making an impact at PwC.
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📌 Market Risk Manager At Pwc Toronto
🏢 PwC Canada
📍 Toronto

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