TD is seeking a Market Risk Analyst in Toronto, Ontario, to enhance risk management strategies. Focus on risk analytics and reporting while collaborating with financial teams to support business objectives.
In this pivotal role, you will analyze market risks across various asset classes to inform senior management. Your work will play a crucial part in helping TD navigate market volatility and ensure robust risk monitoring.
Key Responsibilities: • Produce and distribute market risk reports accurately • Monitor and report on key risk metrics • Resolve data quality issues with technology teams • Analyze P&L; attributions and portfolio risks • Support stress testing and scenario analyses
Requirements: • Bachelor's degree in relevant fields (Finance, Mathematics) • Experience in financial modeling and risk analytics • Familiarity with coding (e.g., Python, Bloomberg) • Robust understanding of risk metrics and financial regulations • Excellent written and verbal communication skills
Leverage your expertise in risk management to drive TD's financial strategy and decision-making. #J-18808-Ljbffr