13 Sep
|
Socket.dev
|
Toronto
13 Sep
Socket.dev
Toronto
Elevate your career in finance as a Senior Risk Manager at CIBC, focusing on Trading Market Risk in capital markets. Manage market risk and provide oversight while embracing a hybrid work model. In this senior role, you will oversee market risk and effectively challenge strategies within Equity Derivative trading desks.
Utilize your expertise to monitor PnL/risk changes, deliver product analysis to senior management, and enhance risk measurement projects such as FRTB Capital risk. Collaborating with various teams, you’ll streamline communication and improve processes in risk management. Key Responsibilities:
- Monitor daily trading activities and assess risk metrics
- Provide effective challenges to trading desk strategies
- Develop relationships with risk management stakeholders
- Enhance risk measurement and monitoring processes
- Conduct ad-hoc risk analyses and streamline reporting Requirements:
- 3+ years in market risk or related field
- Degree in Quantitative Finance or similar
- Proficient in Python, R, SQL, Bloomberg API
- Strong knowledge of Equity Derivatives
- Critical thinking and problem-solving expertise Lead risk management initiatives and enhance your impact with CIBC’s hybrid work workplace.
📌 Senior Market Risk Manager - CIBC (Toronto)
🏢 Socket.dev
📍 Toronto