Elevate your career as a Liquidity Risk Analyst with a prominent financial services firm in Toronto. This role focuses on regulatory reporting and collateral management, requiring significant analytical expertise.
Our client is seeking a Risk Analyst with 5-10 years of experience to join their Market Risk Regulatory Reporting team. You will support liquidity-focused regulatory submissions and manage collateral processes within a complex banking setting. Key skills required include regulatory filings, data quality investigations, and programming knowledge in Python or SQL.
Key Responsibilities:
• Support regulatory submission processes for risk reporting • Execute reconciliations between source systems and platforms • Investigate and resolve data quality issues and discrepancies • Monitor processes to meet regulatory reporting deadlines • Develop understanding of financial products' risk management
Requirements: • 5-10 years in Liquidity Risk or Collateral Management • Experience with regulatory filings and reporting processes • Knowledge of market risk metrics and governance practices • Proficient in Python, SQL, or VBA for analysis • Degree in Risk Management, Finance, or related field
Discover how your skills in risk analysis and regulatory reporting can contribute to a leading financial institution in Toronto. #J-18808-Ljbffr
📌 Liquidity Risk Analyst in Toronto (Winnipeg)
🏢 S.i. Systems
📍 Winnipeg
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