Description
As a Senior Analyst in Middle Office in Capital Markets and Treasury Risk Management team at National Bank, you’ll be a specialist in Market Risk. With your rigor, resourcefulness, and innovation, your experience of financial markets and your knowledge of market risk measurement calculations (P&L, Greeks, VAR), you’ll have a positive impact on the bank risk management.
Your role:
- Run the daily production and analysis of Risk, Compliance, and P&L report
- Support ongoing investigations and validations link to the different risk measures (VaR, stressed VaR, stress-testing, back-testing, greeks, P&L)
- Evaluate and do the follow up on compliance limits and risk covering of a wide range of assets class and portfolios including equity, derivatives, fixed income, commodities and FX
- Develop IT process and participate in process migration to AWS
- Collaborate with various sectors of the Bank: Front Office, Risk Oversight, Operations, IT, Model Development, Governance, Credit, Accounting, Audit
Your team:
As part of the Middle Office, you’ll be on a team of 40 colleagues and you’ll report to the Manager - Middle Office. Our team stands out for its collaboration, its expertise and mainly for the talent development.
We offer a wide range of ongoing learning opportunities for your development, including hands-on learning, training courses and collaborating with colleagues who have varied expertise and profiles.
Prerequisites:
- Successfully completed Bachelor’s/Master’s in finances or any quantitative field or relevant experience
- 1-3 years of relevant experience with highly technical requirements would be a strong asset
- Excellent knowledge of Financial Markets, Derivatives and evaluation method would be desired
- Successful completion or in the process of receiving the CFA, FRM, PRM, ERP designation, is considered an asset
- Demonstrated leadership and teamwork capabilities
- Mastering of Microsoft Office (Excel et Access)
- Programming skill - VBA, Python, SQL would be beneficial