| About our client |
| Our client is a leading financial institution. |
| Position |
Location |
| Senior Manager, Capital and Market Risk |
Toronto (Downtown), Ontario |
| Salary |
| $100K – $110K |
| Responsibilities |
1) Audit key trading, investment, and treasury units globally 2) Maintain primary interaction with trading management and risk management units 3) Complete audit working papers in a robust fashion using electronic working tools
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| Requirements |
1) Expertise in audit market risk measurement methodologies such as VaR and other risk measures 2) Ability to manage a team and independently produce audit reports 3) Ability to develop robust audit programs as well as enhance continuously based on developments in the market and ongoing research of best practices
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