ABOUT THE TEAM The Senior Advisor, Portfolio Risk Management is responsible for leading the ... Act as a trusted advisor to Investment teams and CIO Office on portfolio-level risk considerations
ABOUT THE TEAM The Senior Advisor, Portfolio Risk Management is responsible for leading the ... Act as a trusted advisor to Investment teams and CIO Office on portfolio-level risk considerations
The Americas Risk and Scarce Resources Counterparty Credit Risk team (RSR/CCR) acts as the 1st Line ... Limit Overshoot Management * Ensure that the risk limits remain in line with: - SG Risk Appetite ...
The Americas Risk and Scarce Resources Counterparty Credit Risk team (RSR/CCR) acts as the 1st Line ... Limit Overshoot Management * Ensure that the risk limits remain in line with: - SG Risk Appetite ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Credit Analyst
Montreal, QC ยท On-site
Manage key components of counterparty credit administration such as internal ratings, trading documentation (ISDA/CSA, GMRA, GMSLA, FAA), and replacement risk limits. Establish credit terms for legal ...
Credit Analyst
Montreal, QC ยท On-site
Manage key components of counterparty credit administration such as internal ratings, trading documentation (ISDA/CSA, GMRA, GMSLA, FAA), and replacement risk limits. Establish credit terms for legal ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Your work will directly influence the quality of credit decisions and risk mitigation for FCC. As ... Are you passionate about risk management, customer service and talent development? If so, this role ...
Credit Analyst
Montreal, QC ยท On-site
Manage key components of counterparty credit administration such as internal ratings, trading documentation (ISDA/CSA, GMRA, GMSLA, FAA), and replacement risk limits. Become knowledgeable of credit ...
Credit Analyst
Montreal, QC ยท On-site
Manage key components of counterparty credit administration such as internal ratings, trading documentation (ISDA/CSA, GMRA, GMSLA, FAA), and replacement risk limits. Become knowledgeable of credit ...
Team Management * Foster a culture of risk awareness and accountability, leading a client centric ... team of credit officers. * Excellent communication skills (written and oral) to converse ...
Team Management * Foster a culture of risk awareness and accountability, leading a client centric ... team of credit officers. * Excellent communication skills (written and oral) to converse ...
ERM Officer
Montreal, QC ยท On-site
The Enterprise Risk Management department in the RISQ Division oversees risk management for SG ... The department oversees the enterprise, strategic, credit, market, liquidity, operational, model ...
ERM Officer
Montreal, QC ยท On-site
The Enterprise Risk Management department in the RISQ Division oversees risk management for SG ... The department oversees the enterprise, strategic, credit, market, liquidity, operational, model ...
Senior Manager, Risk
Brossard, QC ยท On-site
Support innovation and digitize risk processes, improving accuracy of and speed of credit decisions and operational efficiencies. Portfolio Management * Account Monitoring: proactive and ongoing ...
Senior Manager, Risk
Brossard, QC ยท On-site
Support innovation and digitize risk processes, improving accuracy of and speed of credit decisions and operational efficiencies. Portfolio Management * Account Monitoring: proactive and ongoing ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Beloeil, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Beloeil, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Levis, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Levis, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Laval, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Laval, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Rosemere, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Rosemere, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Chateauguay, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Manager, Collections
Chateauguay, QC ยท On-site
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Bachelor's degree in Business, Finance, Economics, Analytics, or a related field, or equivalent experience. * 5+ years of progressive experience in collections, credit risk, portfolio management ...
Credit Risk Management Officer information
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Senior Advisor, Portfolio Risk Management
Montreal, QC โข Hybrid
Full-time
Retirement, PTO
Re-posted 27 days ago
Job description
We're one of Canada's largest pension investors, with CAD$299.7 billion of net assets as of March 31, 2025.
We invest funds for thepension plans of thefederalpublicservice, the Canadian Forces, theRoyal Canadian Mounted Police andthe ReserveForce. Headquartered in Ottawa, PSP Investments has its principal business office in Montreal and offices in New York, London and Hong Kong.
Capturing and leading complex global investments requires us to work as one to seize valuable opportunities, in close collaboration with some of the world's top companies. At PSP Investments, you'll join a team of motivated and engaged professionals, dedicated to propelling our organization further than ever before.
ABOUT THE TEAMThe Senior Advisor, Portfolio Risk Management is responsible for leading the portfolio-level risk view for assigned Private Asset Classes, including the monitoring, analysis, and communication of key risk exposures and performance drivers. The role ensures a consistent and well-understood risk narrative across senior stakeholders, including Investment teams, the CIO Office, and the Risk group. The Senior Advisor plays a central role in shaping the evolution of Top-Down portfolio risk frameworks, establishing best practices, and advancing analytical standards for Private Assets, characterized by illiquidity, leverage, and complex risk drivers. The role requires strong judgment, deep analytical capability, and the ability to influence outcomes without direct authority.
ABOUT YOUR ROLELead analyses that build a comprehensive understanding of portfolio exposures, risks, and performance drivers for the assigned asset class
Influence the adoption and the evolution of the Top-Down portfolio framework developed by the risk group
Lead ongoing monitoring of portfolio risk metrics, concentration risk, performance trends, stress testing, and scenario analysis
Actively collaborate on the preparation of executive-level materials for the senior management of the risk group and governance committees
Translate complex risk analytics into clear and actionable insights to support investment committees and portfolio managers
Support the development, implementation, and ongoing adherence of portfolio risk frameworks, policies, and limits
Act as a trusted advisor to Investment teams and CIO Office on portfolio-level risk considerations
Provide independent challenge and constructive recommendations on portfolio decisions, transactions, and strategic initiatives
Master's degree in finance or accounting or related field (e.g., MBA, MSc) and/or professional designation (e.g., CPA, CFA, FRM)
Eight (8) + years of experience in portfolio risk management, investment team, portfolio management, or a relevant analytical role
Demonstrated experience with Private Asset Classes
Strong ability to communicate effectively at different levels of seniority
Strategic thinking and sound risk judgment
Attention to detail with strong execution discipline
Ability to influence without direct authority
Bilingualism English and French (frequent interactions in English with PSP employees based in our offices in Hong Kong, London and New York, and interactions in French with employees in our local offices in Montreal and Ottawa)
We offer a tailored employee experience and competitive total rewards and benefits package* designed to attract and retain global diverse talent, reward performance, and reinforce business strategies and priorities. Beyond salary and incentive pay eligibility, you have access to:
Investment in career development
Comprehensive group insurance plans
Competitive pension plans
Unlimited access to virtual healthcare services and wellness programs
Gender-inclusive paid family leave policy: up to 26 weeks for primary caregivers, 5 weeks for secondary caregivers
A personalized family-building support, from pre-pregnancy to menopause, with available financial assistance
Vacation days available on day one with additional days on milestone service anniversaries, and summer Friday afternoons off
A hybrid work model with a mix of in-office and remote days
*Benefits package may vary based on your employee type.
At PSP Investments, we aim to provide a workplace where everyone feels valued, safe, respected and empowered to grow. As part of this leadership commitment, we strongly encourage applications from all qualified applicants and strive to offer an inclusive and accessible candidate experience. If you require any accommodation for any part of the recruitment process, please let us know.
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