Risk Analyst III (5+ years of experience) to mitigate counterparty credit risk within collateral management and capital markets 58512
Our financial services client is seeking a
Risk Analyst III (5+ years of experience) to mitigate counterparty credit risk within collateral management and capital markets Join a collateral management team supporting security lending business activities across bond and equity portfolios. This role focuses on counterparty credit risk mitigation, collateral management, margin processing, and reconciliation activities within a capital markets environment.
The position offers exposure to cross-functional teams including credit, middle office, legal, front office, settlements, and corporate treasury. The chance includes formal onboarding and job-specific training with potential for extension based on business needs and performance. Contract, Toronto, Hybrid, 4 days onsite, 1 day work from home
8 months 66 Wellington Must Haves
5+ years in capital markets or collateral management Fixed income background within capital markets Advanced
Excel skills including
VLOOKUPs and pivot tables Post secondary education required Nice to Have
CFA certification FRM certification Responsibilities
Monitor client portfolios and issue and receive collateral calls Enter margin tickets into the collateral system Conduct process reviews in accordance with Global Short-term Markets Policy Resolve and elevate collateral issues Reconcile repo collateral statements during margin disputes Assess impacts of capital markets risk issues on exposures Perform control functions to ensure process integrity Our financial services client is seeking a
Risk Analyst III (5+ years of experience) to mitigate counterparty credit risk within collateral management and capital markets Join a collateral management team supporting security lending business activities across bond and equity portfolios. This role focuses on counterparty credit risk mitigation, collateral management, margin processing, and reconciliation activities within a capital markets environment.
The position offers exposure to cross-functional teams including credit, middle office, legal, front office, settlements, and corporate treasury. The opportunity includes formal onboarding and job-specific training with potential for extension based on business needs and performance. Contract, Toronto, Hybrid, 4 days onsite, 1 day work from home
8 months 66 Wellington Must Haves
5+ years in capital markets or collateral management Fixed income background within capital markets Advanced
Excel skills including
VLOOKUPs and pivot tables Post secondary education required Nice to Have
CFA certification FRM certification Responsibilities
Monitor client portfolios and issue and receive collateral calls Enter margin tickets into the collateral system Conduct process reviews in accordance with Global Short-term Markets Policy Resolve and elevate collateral issues Reconcile repo collateral statements during margin disputes Assess impacts of capital markets risk issues on exposures Perform control functions to ensure process integrity Disclaimer: AI may be used in evaluating candidates. This posting is for an existing vacancy.
📌 Risk Analyst III (5+ years of experience) to mitigate counterparty credit risk within collateral man (Winnipeg)
🏢 S.i. Systems
📍 Winnipeg
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