Our client, a large financial institution, is looking for a Risk Analyst to fill a 12-month contract located in Toronto. This is an excellent opportunity for a risk analyst with a financial background.
As a Risk Analyst your duties will include but not be limited to:
Generating reports for key risk metrics including interest rate risk, earning risk, and VaR
Analyzing and articulating the attribution of interest rate sensitivity movement for key risk metrics
Collaborating with other business units to develop and recommend asset mixes for various insurance segments
Qualifications required for Risk Analyst include:
Bachelor's degree with investment experience or Masters in a quantitative discipline
CFA/PRM/FRM or other relevant risk management designation
5+ years work experience in a financial or investment risk management role
If you are interested in this opportunity, kindly send your resume in MS Word format to spencer@ifgpr.com today!
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