Operational Risk Analyst - Capital Markets
Toronto, Ontario, Canada
5d ago
source : CareerBuilder, LLC

Intermediate Risk Analyst

On behalf of our client in the Banking Sector, PROCOM is looking for an Intermediate Risk Analyst.

Intermediate Risk Analyst Job Description

  • The resource will engage with Finance, Trade Support, GORM, CMRM, Front Office Technology and Risk Management Technology teams.
  • The resource will provide analysis and expertise in the development, prototyping and implementation of new operational risk metrics and reporting covering trading businesses and related support groups
  • Support the implementation of enhancements to the risk systems to monitor adherence to authorized product authorities across the trading businesses.
  • Develop detailed business requirements, prototyping, and testing support
  • Analyze financial products booking constructs in trading source systems
  • Opine on new product onboarding initiatives to ensure proper monitoring of any restrictions placed by stakeholders
  • Provide support in all new operational risk monitoring and reporting initiatives ensuring efficiency and effectiveness are continually met.
  • In partnership with other GORM and Capital Markets Risk Management (CMRM) groups assist in building and maintaining a common vision of how operational risk processes and reporting are and will be supported
  • Develop detailed business requirements, prototyping, and testing support for all new reporting and monitoring needs for the group
  • Provide support for the regular analysis and reporting of operational risk metrics to senior committees
  • Work alongside with various stakeholders to identify, measure, report and escalate systems related operational risk issues within Capital Markets business lines and related support groups
  • Intermediate Risk Analyst Mandatory Skills

  • 2 - 4 years of experience as a Risk Analyst
  • Advanced Excel, Visual Basic, SQL, PowerPoint, and SharePoint skills
  • Solid understanding of front office, middle office and risk systems (no preference for specific systems)
  • Broad knowledge of a wide range of financial products (debt instruments, equities, futures, options, swaps)
  • Bachelor or Masters’ Degree with specialization in Risk Management, Finance, Mathematics, Statistics or Computer Science
  • Time management
  • Ability to juggle priorities and jump from one strategy to another
  • Independent, self-starter
  • Intermediate Risk Analyst Nice to Have Skills

  • Visio experience
  • Some Business Analysis or Developer experience
  • Advanced R and / or Python experience
  • Tableau experience
  • Intermediate Risk Analyst - Assignment Start Date

    ASAP 6 months to start

    Intermediate Risk Analyst - Assignment Location

    Downtown Toronto

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