Risk Management Analyst at National Bank (Montreal)

Risk Management Analyst at National Bank (Montreal)

15 Sep
|
National Bank of Canada
|
Montreal

15 Sep

National Bank of Canada

Montreal

Elevate your career as an Analyst in Risk Management Solutions at National Bank of Canada. This role focuses on derivatives and financial risk management with hands-on client interaction. In this position, you will work with a multidisciplinary team in Montreal and collaborate closely with traders and originators.

Your key responsibility will be to analyze market trends and develop innovative risk management strategies. You'll prepare client materials, participate in transaction execution, and help drive business development initiatives while gaining exposure to financial markets. Key Responsibilities:

- Analyze market developments and client exposures
- Prepare presentations and quantitative analyses for clients
- Structure and execute derivative transactions




- Participate in client meetings and transaction execution
- Collaborate with Trading and Corporate Banking teams Requirements:
- Bachelor’s or master’s in finance, economics, or related field
- 1-3 years of experience in capital markets
- Solid analytical and problem-solving abilities
- Advanced proficiency in Excel and PowerPoint
- Experience with Python or VBA is an asset Cultivate your risk management expertise while collaborating with seasoned professionals at National Bank and support clients through tailored financial solutions.

📌 Risk Management Analyst at National Bank (Montreal)
🏢 National Bank of Canada
📍 Montreal

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