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Capital Market Risk Analyst (Bank, SQL, VBA, Python) Inc

This is a Contract position in Hamilton, ON posted October 13, 2021.

“The start date of this job is flexible and in order to find the best candidate the job may remain open much longer than the date mentioned on this posting…or you may be asked to start sooner than the expected start date if you are able to do so” URGENT: Please read the job description below.

If this interests you, please send a MS-Word version copy of your updated resume (ASAP) along with your salary expectations, first available date and a telephone contact number.

Please mention the job title above in the subject line The recruiter in charge of this role is Sunita If you do not think you are a match for this opportunity, but know someone who is, feel free to forward this email to them and you will be eligible for a referral bonus upon a successful hire.

One of our major banking clients is looking for a Capital Market Risk Analyst (Bank, SQL, VBA, Python) Length: Contract term is 6 months with a possibility of extension or permanent Location: Toronto, ON
– Remote Hours: Monday-Friday: 9-5pm LOB: Enterprise Risk Management GROUP/PROJECT INFO: Group provide accurate and complete market risk measurements and maintains operational process and procedures.

Supports an efficient and effective Market Risk management function, execution of accurate data, reconciliations, analysis and reporting for internal and external stakeholders, including the Regulatory bodies.

CULTURE: Very team collaborative Team is about 10-15 people EVP (Employee Value proposition): Can get great exposure in the market risk with the bank Gain knowledge with financial derivatives.

RESPONSIBILITIES INCLUDE (but are not limited to): This role will support the end to end process that facilitate the market risk analytics & reporting, provide timely accurate and complete market risk measurement.

– Executes and organizes work to deliver timely, accurate, and efficient scheduled and ad hoc processes.

Supports the maintenance of operational procedures and processes related to team’s mandates and functionalities.

– Supports the maintenance, monitoring, and measurement of key Market Risk indicators, data and attributes, including trading limits, daily P&L backtest and associated investigations
– Understand, analyze and communicate the drivers, trends and provide context therein with respect to changes in the market risk profile of each line of business.

– Ensures strong governance and effective controls across activities and information in accordance with Team, department, enterprise and Regulatory standards.

Provides information and supports the process for internal and external audits.

– Broader work or accountabilities may be assigned as needed.

– Knowledge of Capital Markets Products
– Data analysis and coding skills including SQL and Excel/VBA functions
– Strong understanding of control and governance requirements
– Strong knowledge to write and troubleshoot Excel macros, VBA codes and automation tools.

– Market Risk measurement and risk system testing.

– Python experience
– Previous FI experience SOFT SKILLS:
– attention to detail
– problem solving
– Analytical think
– Communication ability to prioritize work and timelines EDUCATION/CERTIFICATIONS:
– prefers Masters but okay with Bachelors
– Nice to have CFA or FRM or other related qualification Please note that this is the most up to date version of job description available at this time
– During Client Interview you will receive additional information
– variance may apply Please visit the TEAMRECRUITER website to review other CAREER OPPORTUNITIES