CIBC is seeking a skilled Senior Risk Manager for Trading Market Risk to join our team in Toronto. Drive innovative risk oversight while working in a hybrid model.
This leadership role will require you to manage market risk primarily for Equity Derivative trading desks, ensuring effective monitoring of positions and risk challenges. Collaborate with Capital Markets partners to enhance risk measurement and engage with senior management through accurate product analysis. You'll also work closely with Quantitative Risk Management to optimize models and automate risk oversight processes.
Key Responsibilities:
• Evaluate trading desk activities and risk factors
• Offer strategic challenges to trading desk processes
• Foster effective relationships with Capital Markets teams
• Lead enhancement projects for risk measurement
• Perform detailed risk analysis and reporting
Requirements:
• 3+ years in market risk or trading
• Bachelor's in Quantitative Finance or equivalent
• Experience with programming and data analysis tools
• Deep understanding of capital market derivatives
• Robust analytical and communication skills
Shape the future of market risk management at CIBC and thrive in a flexible work environment.
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