Intermediate Risk Analyst - Experience with Collateral and/or Liquidity Risk measurement and reporting 57242
Posted by S.i. Systems • March 23, 2026
Description
Work Order Requisition Title: CAN - Risk Analyst IV
Start Date: ASAP
Duration: 9 months
Hybrid: 4 days onsite, 1 day work from home
- Anchor Days (if applicable): Flexible
66 Wellington Street West, Toronto, Ontario
Scope of Project: Bank of Canada regulation project – securities holding return
CANDIDATE PROFILE DETAILS:
Degree/Certifications Required: Undergraduate or graduate degree in Risk Management, Business, Economics, Mathematics, Finance, or other quantitative disciplines
Preferred Candidate Background: Liquidity and/or collateral and prior banking or financial experience
SUMMARY OF DAY-TO-DAY RESPONSIBILITIES:
Department Overview
The Market Risk team is responsible for an independent oversight of enterprise wide market, counterparty credit and liquidity risk while ensuring all significant risks and results are measured and reported. Our professionals thrive in providing guidance to business leaders on...
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