Analyst or Senior Analyst, Investment Risk Build the future with us We are searching for an ... Has a University degree in finance, actuarial science, or other related quantitative discipline.
Analyst or Senior Analyst, Investment Risk Build the future with us We are searching for an ... Has a University degree in finance, actuarial science, or other related quantitative discipline.
About the Role: As a Quantitative Trader, you'll play a key role in managing market risk and ... Monitor and analyse all external trading costs, identifying significant changes and suggesting cost ...
About the Role: As a Quantitative Trader, you'll play a key role in managing market risk and ... Monitor and analyse all external trading costs, identifying significant changes and suggesting cost ...
Our areas of expertise include Project Controls, Project Management, Quantitative Risk Analysis, Organizational Change Management, Enterprise Reporting, Estimating, Asset Management, and System ...
Quick apply
Our areas of expertise include Project Controls, Project Management, Quantitative Risk Analysis, Organizational Change Management, Enterprise Reporting, Estimating, Asset Management, and System ...
Our areas of expertise include Project Controls, Project Management, Quantitative Risk Analysis, Organizational Change Management, Enterprise Reporting, Estimating, Asset Management, and System ...
Quick apply
Our areas of expertise include Project Controls, Project Management, Quantitative Risk Analysis, Organizational Change Management, Enterprise Reporting, Estimating, Asset Management, and System ...
Risk Advisory - Senior Analyst
Toronto, ON · On-site
CA$70K - CA$85K/yr
... of solutions. * Assist associates in analyzing client information and preparing periodic ... Understanding of risk management in financial markets * Advanced proficiency in Microsoft Excel and ...
Quick apply
Risk Advisory - Senior Analyst
Toronto, ON · On-site
CA$70K - CA$85K/yr
... of solutions. * Assist associates in analyzing client information and preparing periodic ... Understanding of risk management in financial markets * Advanced proficiency in Microsoft Excel and ...
Model Validation is a core element of the Model Risk Management framework and an essential piece to ... Role Summary The Senior Analyst, Model Validation performs quantitative and qualitative validation ...
Model Validation is a core element of the Model Risk Management framework and an essential piece to ... Role Summary The Senior Analyst, Model Validation performs quantitative and qualitative validation ...
Risk Associate
CA$85K - CA$105K/yr
The Risk and Transparency Reporting Group is responsible for portfolio risk analytics and (market ... Oversee and review the production of quantitative portfolio risk reports (market/credit/liquidity ...
Risk Associate
CA$85K - CA$105K/yr
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Sr. Analyst, CCR Capital
Toronto, ON · On-site
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Data Analytics & Reporting Applies mathematical and statistical methods to financial and risk ... Develops pricing and quantitative risk models for an assigned portfolio e.g. fixed income ...
Sr. Analyst, CCR Capital
Toronto, ON · On-site
CA$67K - CA$124K/yr
Data Analytics & Reporting Applies mathematical and statistical methods to financial and risk ... Develops pricing and quantitative risk models for an assigned portfolio e.g. fixed income ...
... economics or a quantitative discipline * Thorough knowledge of traded products including ... Risk Management, Market Analysis, Market Risk, Risk Management Additional Job Details Address:
New
... economics or a quantitative discipline * Thorough knowledge of traded products including ... Risk Management, Market Analysis, Market Risk, Risk Management Additional Job Details Address:
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As an Associate Director / Senior Analyst, Enterprise Model Risk Management (EMRM) in our Group ... Execute and document appropriate quantitative and qualitative tests, review of the logic and ...
As an Associate Director / Senior Analyst, Enterprise Model Risk Management (EMRM) in our Group ... Execute and document appropriate quantitative and qualitative tests, review of the logic and ...
Execute and document appropriate quantitative and qualitative tests, review of the logic and ... Strong conceptual, analytical, detailed oriented and problem-solving skills * Strong computer ...
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Our Rogers Bank Credit Risk team is growing and is looking for like-minded thinkers who are ... Strong analytical and statistical knowledge with an ability to combine quantitative and common ...
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Toronto, ON · On-site
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Senior Analyst, Acquisition
Toronto, ON · On-site
Our Rogers Bank Credit Risk team is growing and is looking for like-minded thinkers who are ... Strong analytical and statistical knowledge with an ability to combine quantitative and common ...
Turner & Townsend is seeking a Risk Director or experienced Associate Director to develop, lead and ... Facilitate risk identification, qualitative and quantitative analysis, and mitigation planning ...
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Turner & Townsend is seeking a Risk Director or experienced Associate Director to develop, lead and ... Facilitate risk identification, qualitative and quantitative analysis, and mitigation planning ...
What is the Opportunity? As Associate Director, ESG Risk Analytics, you will support the ... Risk, Quantitative Methods Additional Job Details Address: RBC CENTRE, 155 WELLINGTON ST W:TORONTO ...
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What is the Opportunity? As Associate Director, ESG Risk Analytics, you will support the ... Risk, Quantitative Methods Additional Job Details Address: RBC CENTRE, 155 WELLINGTON ST W:TORONTO ...
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The Senior Director, Total Portfolio Risk is a key leadership role within the Risk Division ... Overseeing the development and implementation of quantitative methodologies, models, and analytics ...
The Senior Director, Total Portfolio Risk is a key leadership role within the Risk Division ... Overseeing the development and implementation of quantitative methodologies, models, and analytics ...
Senior Director, Total Portfolio Risk
Toronto, ON · On-site
$120 - $160/hr
The Senior Director, Total Portfolio Risk is a key leadership role within the Risk Division ... Overseeing the development and implementation of quantitative methodologies, models, and analytics ...
New
Senior Director, Total Portfolio Risk
Toronto, ON · On-site
$120 - $160/hr
The Senior Director, Total Portfolio Risk is a key leadership role within the Risk Division ... Overseeing the development and implementation of quantitative methodologies, models, and analytics ...
New
Under the guidance of the Director, Risk Analytics and Modelling, the Senior Manager, Risk ... Possess strong quantitative skills. * Hands-on experience with AI agents, large language models ...
Under the guidance of the Director, Risk Analytics and Modelling, the Senior Manager, Risk ... Possess strong quantitative skills. * Hands-on experience with AI agents, large language models ...
Manager, Quantitative Models Development
Toronto, ON · Hybrid
CA$92K - CA$142K/yr
Manager, Quantitative Models Development The Quantitative Models Development team provides ... risk analytics that support strategic decision-making and portfolio management. * Drive the ...
Manager, Quantitative Models Development
Toronto, ON · Hybrid
CA$92K - CA$142K/yr
Manager, Quantitative Models Development The Quantitative Models Development team provides ... risk analytics that support strategic decision-making and portfolio management. * Drive the ...
... and risk management problems (e.g. internal controls; enterprise-wide stress testing and scenario analysis; capital modelling; valuations). Through quantitative analytical modelling, identifies ...
New
... and risk management problems (e.g. internal controls; enterprise-wide stress testing and scenario analysis; capital modelling; valuations). Through quantitative analytical modelling, identifies ...
New
Associate Quantitative Risk Analyst information
What does a quantitative risk analyst do?
What are some common challenges faced by Associate Quantitative Risk Analysts in their first year, and how can they overcome them?
What is the difference between Associate Quantitative Risk Analyst vs Credit Risk Analyst?
| Aspect | Associate Quantitative Risk Analyst | Credit Risk Analyst |
|---|---|---|
| Required Credentials | Bachelor's in finance, economics, or related field; often some familiarity with quantitative methods | Bachelor's in finance, economics, or related field; certifications like CFA or FRM are common |
| Work Environment | Financial institutions, risk management teams, quantitative departments | Banking, lending institutions, credit departments |
| Employer & Industry Usage | Used in risk modeling, data analysis, and quantitative assessments | Focuses on assessing creditworthiness and loan risk |
The Associate Quantitative Risk Analyst primarily focuses on developing models and analyzing data to measure financial risks, often working with quantitative tools. In contrast, a Credit Risk Analyst concentrates on evaluating the creditworthiness of borrowers and managing credit risk. While both roles require similar educational backgrounds and work within financial institutions, their core responsibilities differ—one emphasizes quantitative modeling, the other credit assessment.
How much does a quant risk analyst make?
Is a quant analyst high paying?
What is the salary of a quant risk analyst?
What are Associate Quantitative Risk Analysts?
What are the key skills and qualifications needed to thrive as an Associate Quantitative Risk Analyst, and why are they important?
Full-time
Retirement, PTO
Re-posted 19 days ago
Job description
Analyst or Senior Analyst, Investment Risk
Build the future with us
We are searching for an enthusiastic individual to join our fast-growing Investment Risk team to tackle new challenges in a continuous improvement environment.
As a member of the Investment Risk team, you will be contributing to the running, development, and maintenance of asset-liability, market, credit, liquidity and regulatory investment risk models and reports covering General and Investment Funds. Your work will ultimately be used to support the business and management in strategic decision-making. Additionally, you will be assisting in the build-out of our systems infrastructure to improve efficiency, automation, and insight-driven analysis.
What you'll accomplish with us
As an Analyst or Senior Analyst, Investment Risk you'll be at the core of our mission.
Here are the main responsibilities :
- Run and improve efficiency of investment risk processes.
- Maintain and develop investment risk models.
- Design, specify, and support implementation of detailed risk reports and analysis consistent with the investment policy and other investment-risk-related policies.
- Analyze risk metrics and provide insights to the team and our partners.
- Contribute to a variety of complex strategic projects, mandates, and activities.
- Contribute to the evaluation and implementation of risk management frameworks.
- Implement risk management processes based on industry best practices.
What could accelerate your success in this role
We're looking for someone who:
- Has 1 to 3 years of experience in the financial industry in an investment, risk or actuarial science role
- Has a University degree in finance, actuarial science, or other related quantitative discipline.
- Is known for their motivated, self-starter skills and comfortable building new tools and models
- Stands out for their time management skills and ability to work under tight time deadlines
- Demonstrates strong programming skills in Python.
- Is recognized for their ability to work on a cross-functional team
- Advanced level of French and English as the role involves communicating on a daily basis with French and English speakers accross the organization
Why you'll love working with us
- A work environment where learning and development merge with a collective pursuit of excellence;
- A healthy, safe, fair, and inclusive environment where potential can be freely expressed and developed;
- The opportunity to work in a hybrid environment, supported by flexibility and access to inspiring and innovative workspaces;
- Competitive benefits: Flexible group insurance, competitive pension plan, stock purchase plan, vacation and wellness/personal development days, telemedicine, employee and family assistance program, ergonomic furniture program, performance bonus, discounts on iA products, and much more!
The typical hiring range for this position is between 65 000$ and 90 000CAD per year; + bonus, the base salary offered may vary depending on knowledge, skills, years of experience, and internal equity related to the role. At iA, we are committed to offering a fair, equitable, and market-based compensation structure. Our market data is updated annually to reflect the most current market conditions.
Apply now and get ahead of your career, where your talent really belongs!Still unsure about applying?
At iA, we believe in potential and value diverse experiences. If this role inspires you, go ahead and apply - your place might be with us, and we want to get to know you!Location(s)Quebec / 1080, Grande Allee WestOther Possible Location(s)Montreal / 1981 McGill College AvenueToronto / 26 Wellington Street East
CompanyIndustrial Alliance Investment Management Inc.Posting End Date2026-07-09Company Overview
iA Financial Group* is the strength of a company with a human side, with its over 8,000 employees. Together, we have earned the trust of our more than four million clients and 25,000 advisors who have chosen us for their insurance, savings, and wealth management.
With over $200 billion in assets and half a billion invested in technological innovation, we're a key player in the financial services industry in Canada and the United States. The secret to our success? Investing in you, one person at a time. Because, for over 125 years, we have believed that it's by supporting our employees and surrounding ourselves with the most reputable leaders in the industry, we will continue to innovate.
At iA, we're invested in you.
* iA Financial group includes of the following entities: iA Services financiers, iA assurance auto et habitation, iA Gestion privee de patrimoine, PPI Management, Investia, iA Gestion de placements, Prysm, iA Clarington, Michel Rheaume et associes, Garanties Nationales, WGI Manufacturing, WGI Service Plan Division, Lubrico, iA Financement auto Our Commitment to Diversity and InclusionAt iA Financial Group, we support and celebrate diversity. We strive to provide a workplace that is recognized as inclusive for all, regardless of ethnic origin, nationality, language, religious beliefs, gender, sexual orientation, age, marital status, family situation, or physical or mental disability.
Please note that if you need help or assistance to make the recruitment process more accessible for you, please Contact us here. Someone from our team will be happy to assist you with your needs.