Location: Toronto
Contract: 18 month (covering a maternity leave)
Hybrid: 2 days a week onsite
Pay rate: $70-75
JOB DESCRIPTION
A major financial institution is seeking a Senior Manager, Liquidity & Non-Trading Market Risk to join its Capital Markets Risk Management team. This individual will play a key role in providing oversight and challenge of the institution's balance sheet, liquidity, and funding risk profile, while ensuring alignment with regulatory expectations and risk management frameworks. The successful candidate will partner closely with Treasury, Finance, Capital Markets, and Risk stakeholders to analyze liquidity and funding risks, investigate trends and emerging issues, assess regulatory requirements, and support strategic decision-making.
REQUIRED SKILLS AND EXPERIENCE
- Understanding of balance sheet of any large financial institution
- Understanding of OSFI regulatory requirements
- Previous experience in liquidity risk (3-4 years)
NICE TO HAVE SKILLS AND EXPERIENCE
- CPA, CFA, CFRM
Vacancy: This posting is to cover for a maternity leave
*We may use artificial intelligence tools to assist with the screening, assessment, or selection of potential applicants for this position.