Shape financial future at Laurentian Bank as a Market Risk Analyst. Engage in a hybrid environment managing treasury and investment risks while conducting market analyses.
As an Analyst, Market Risk, you'll bring your Master’s degree in finance to the forefront, ideally along with professional certifications such as FRM or CFA. Your role will involve validating market data and developing risk monitoring reports. Focus on collaborating with business lines and participating in impactful projects that enhance the bank's profitability and efficiency.
Key Responsibilities:
• Analyze market risks for treasury and capital markets daily
• Compile and ensure accuracy of market data from various sources
• Contribute to current risk monitoring models and reports
• Support fair valuation processes for financial products
• Participate in major projects impacting profitability
Requirements:
• Master’s degree in finance or related discipline
• Two years of relevant risk management experience
• Strong programming and IT skills
• Bilingual proficiency in English and French
• Detail-oriented with strong communication skills
Leverage your analytical skills to elevate the risk management efforts at Laurentian Bank.
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📌 Analyst for Market Risk Management (Ontario)
🏢 Laurentian Bank
📍 Ontario
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