25 Sep
|
S.i. Systems
|
Winnipeg
25 Sep
S.i. Systems
Winnipeg
Risk Analyst (5+ years of experience) to mitigate counterparty credit risk using collateral management and fixed income expertise 58673 Our financial services client is seeking a
Senior Risk Analyst (5+ years of experience) to mitigate counterparty credit risk using collateral management and fixed income expertise
Join a team supporting a new business line focused on sponsored repo requirements for centrally cleared US treasuries. This role is centered on collateral management activities, counterparty credit risk mitigation, and operational risk reduction within a capital markets environment. The position offers exposure across credit, middle office, legal, front office, settlements, and corporate treasury teams.
This opportunity supports a high-visibility project with potential for long-term extension based on business needs and performance.
Contract, Toronto, Hybrid, 4 days onsite, 1 day work from home
12 months
Must Haves
5+ years of
Capital Markets or
Collateral Management experience
Robust
Fixed Income background with exposure to
Central Clearing
Advanced
Excel skills including vlookups and pivot tables
Post-secondary education required
Nice to Have
CFA certification
FRM certification
Responsibilities
Monitor client portfolios and issue or receive collateral calls
Enter margin tickets into the collateral system
Resolve and and
Reconcile repo collateral statements during margin disputes
Conduct process reviews in accordance with Global Short-term Markets Policy
Assess impacts of capital markets risk issues on exposures
Perform control functions to ensure process integrity
Our financial services client is seeking a
Senior Risk Analyst (5+ years of experience) to mitigate counterparty credit risk using collateral management and fixed income expertise
Join a team supporting a new business line focused on sponsored repo requirements for centrally cleared US treasuries. This role is centered on collateral management activities, counterparty credit risk mitigation, and operational risk reduction within a capital markets environment. The position offers exposure across credit, middle office, legal, front office, settlements, and corporate treasury teams.
This opportunity supports a high-visibility project with potential for long-term extension based on business needs and performance.
Contract, Toronto, Hybrid, 4 days onsite, 1 day work from home
12 months
Must Haves
5+ years of
Capital Markets or
Collateral Management experience
Solid
Fixed Income background with exposure to
Central Clearing
Advanced
Excel skills including vlookups and pivot tables
Post-secondary education required
Nice to Have
CFA certification
FRM certification
Responsibilities
Monitor client portfolios and issue or receive collateral calls
Enter margin tickets into the collateral system
Resolve and and
Reconcile repo collateral statements during margin disputes
Conduct process reviews in accordance with Global Short-term Markets Policy
Assess impacts of capital markets risk issues on exposures
Perform control functions to ensure process integrity
Disclaimer
AI may be used in evaluating candidates.
This posting is for an existing vacancy.
📌 Risk Analyst (5+ years of experience) to mitigate counterparty credit risk using collateral manageme (Winnipeg)
🏢 S.i. Systems
📍 Winnipeg