Program Manager
IFG
Pay Rate: $85 Location: Toronto ON Job Type: Contract Our client, a top 5 bank in Canada is looking to hire a Program Manager in their team for an initial 6-month contract. This role is twice a week in office in downtown Toronto.
Responsibilities Include: Provides market risk oversight, monitoring, and reporting for a designated portfolio. Develops and monitors the market risk management framework that includes the governance framework and practices leveraged across bank to manage market risk. Provides policies and standards, methodologies, and controls to increase transparency, accuracy, and consistency across groups. Works with stakeholders to implement the methodology, metrics, and program standards for the assigned portfolio to ensure compliance and effective monitoring, timely reporting and dentification of action plans. Develops and maintains in-depth knowledge of business and related risk management requirements and legislative/ regulatory directives and guidance. Builds effective relationships with internal/external stakeholders. Ensures alignment between stakeholders. Analyzes data and information to provide insights and recommendations. Monitors and tracks performance; addresses any issues. Qualifications: Previous Asset Liability Management experience - 7+ years Previous Structural Markets Risk experience - 7+ years Previous Treasury experience - 7+ years In-depth / expert knowledge and understanding of the market risk management practices. In-depth / expert knowledge of regulatory requirements. In-depth / expert knowledge & experience with risk policy frameworks; quality control/testing frameworks. Seasoned professional with a combination of education, experience, and industry knowledge. Previous QRM experience. If you are interested & qualified for this opportunity, please send your updated resume in MS Word format to priyanka2@ifgpr.com If this is not the right opportunity for you, let's connect and I can share with you how IFG can help advance your career! #VMS
Responsibilities Include: Provides market risk oversight, monitoring, and reporting for a designated portfolio. Develops and monitors the market risk management framework that includes the governance framework and practices leveraged across bank to manage market risk. Provides policies and standards, methodologies, and controls to increase transparency, accuracy, and consistency across groups. Works with stakeholders to implement the methodology, metrics, and program standards for the assigned portfolio to ensure compliance and effective monitoring, timely reporting and dentification of action plans. Develops and maintains in-depth knowledge of business and related risk management requirements and legislative/ regulatory directives and guidance. Builds effective relationships with internal/external stakeholders. Ensures alignment between stakeholders. Analyzes data and information to provide insights and recommendations. Monitors and tracks performance; addresses any issues. Qualifications: Previous Asset Liability Management experience - 7+ years Previous Structural Markets Risk experience - 7+ years Previous Treasury experience - 7+ years In-depth / expert knowledge and understanding of the market risk management practices. In-depth / expert knowledge of regulatory requirements. In-depth / expert knowledge & experience with risk policy frameworks; quality control/testing frameworks. Seasoned professional with a combination of education, experience, and industry knowledge. Previous QRM experience. If you are interested & qualified for this opportunity, please send your updated resume in MS Word format to priyanka2@ifgpr.com If this is not the right opportunity for you, let's connect and I can share with you how IFG can help advance your career! #VMS
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