LEADING MARKET RECOVERY
THROUGH MANAGING RISK
Our client is a major international financial institution. As a result of tremendous growth they are looking to add a Manager to join their large risk management team.
This role is well suited for a professional with 5+ years of experience in trading risk, P&L analysis and monitoring of risk exposure for a large complex derivative portfolio. Extensive exposure to capital markets products is required for success in this role. Our client is seeking someone with inherent leadership skills to develop strong leaders of strong teams.
Our client offers a variety of product exposure and a deviation from the standard “Silo” business structure. Further, after the learning curve is complete, this firm offers an opportunity to spearhead projects that are visible enterprise wide and provide training in both leadership and project management.
In addition to the years of experience in a related role, the successful candidate will also have strong product knowledge of Interest Rates, Foreign Exchange, Securitizations/MBS or Derivative products. We are seeking professionals who have well developed analytical skills and the ability to identify risk issues from the onset. An relevant educational background or professional designations are a definite asset. (CA, CFA, MBA, FRM or PRM)
If this sounds like you, take the next step toward your future career!
Please submit your resume in confidence to: swhitehall@hays.ca or contact Samantha Whitehall at 416- 203-2198.
Please quote job# 1004619
If you are interested in learning more about this or other opportunities with Hays Financial Services, please submit your resume in confidence for immediate consideration to: swhitehall@hays.ca.
For more information on the opportunities with Hays Financial Services or to expand your professional network visit me at: http://linkedin.com/in/samanthawhitehall
Don't forget to mention "Toronto Job Network" or "CJN" when applying