Location
toronto, on, Canada
Posted
July 04, 2026
Job Description
Elevate your career as a Senior Director in Toronto, overseeing market risk management in FX and Collateral Management. Ensure effective communication and collaboration across trading and risk teams.
As an accomplished Senior Director, your role centers on managing market risk exposures while leading a team of professionals. You will evaluate new products, engage with trading teams, and ensure regulatory compliance. Your insights will greatly influence the risk management policies across the organization.
Key Responsibilities:
β’ Directly oversee market risk evaluations and reporting
β’ Review and analyze daily risk and limit reports
β’ Advise on new products and limit adjudications
β’ Facilitate communication with trading and senior management
β’ Monitor compliance with regulatory and audit requirements
Requirements:
β’ Quantitative degree with preferred Masterβs; CFA/FRM a plus
β’ At least 5 years in market ris...
As an accomplished Senior Director, your role centers on managing market risk exposures while leading a team of professionals. You will evaluate new products, engage with trading teams, and ensure regulatory compliance. Your insights will greatly influence the risk management policies across the organization.
Key Responsibilities:
β’ Directly oversee market risk evaluations and reporting
β’ Review and analyze daily risk and limit reports
β’ Advise on new products and limit adjudications
β’ Facilitate communication with trading and senior management
β’ Monitor compliance with regulatory and audit requirements
Requirements:
β’ Quantitative degree with preferred Masterβs; CFA/FRM a plus
β’ At least 5 years in market ris...