Financial Risk Management Consultant Status: Regular En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du ...
Financial Risk Management Consultant Status: Regular En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du ...
Financial Risk Management Consultant Status: Regular En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du ...
Financial Risk Management Consultant Status: Regular En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du ...
Financial Risk Management Consultant Status: Regular En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du ...
Financial Risk Management Consultant Status: Regular En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du ...
As a senior non-financial risk advisor, you help analyze, develop, implement and maintain tools used to manage non-financial risk practices. You lead and influence practitioners on development ...
As a senior non-financial risk advisor, you help analyze, develop, implement and maintain tools used to manage non-financial risk practices. You lead and influence practitioners on development ...
A seasoned risk professional with a minimum 8 years of risk management, finance and/or audit experience. * Strong working knowledge of the retirement, wealth and asset management industry and ...
A seasoned risk professional with a minimum 8 years of risk management, finance and/or audit experience. * Strong working knowledge of the retirement, wealth and asset management industry and ...
Operational Risk Management * Proactively assess the financial and operational impact of process changes, system enhancements, new products, and business initiatives. * Partner with operational teams ...
Operational Risk Management * Proactively assess the financial and operational impact of process changes, system enhancements, new products, and business initiatives. * Partner with operational teams ...
Senior Advisor, Enterprise Risk Management
Montreal, QC · On-site
CA$96K - CA$128K/yr
Join FinDev Canada, Canada's development financial institution! We work with and through the ... Enterprise Risk Management 18: Salaries typically range from $96,557 - $128,743 annually, based on ...
Quick apply
Senior Advisor, Enterprise Risk Management
Montreal, QC · On-site
CA$96K - CA$128K/yr
Join FinDev Canada, Canada's development financial institution! We work with and through the ... Enterprise Risk Management 18: Salaries typically range from $96,557 - $128,743 annually, based on ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
Senior Advisor, Enterprise Risk Management
Montreal, QC · Hybrid
CA$96K - CA$128K/yr
Join FinDev Canada, Canada's development financial institution! We work with and through the ... Enterprise Risk Management 18: Salaries typically range from $96,557 - $128,743 annually, based on ...
Senior Advisor, Enterprise Risk Management
Montreal, QC · Hybrid
CA$96K - CA$128K/yr
Join FinDev Canada, Canada's development financial institution! We work with and through the ... Enterprise Risk Management 18: Salaries typically range from $96,557 - $128,743 annually, based on ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
We are looking for an Analyst - Risk Management and Insurance who will report to the Senior Analyst ... A bachelor's degree in business, administration, finance, economics, engineering or another ...
What you'll need to succeed University degree in engineering, project management, finance, risk management, or a related field. Post-graduate certificate in Project Management or Risk Management is ...
What you'll need to succeed University degree in engineering, project management, finance, risk management, or a related field. Post-graduate certificate in Project Management or Risk Management is ...
WHAT WE ARE LOOKING FOR Required Qualifications * 7 to 10 years of experience in a financial institution in risk management, credit risk, or financial analysis. * Experience with regulatory capital ...
WHAT WE ARE LOOKING FOR Required Qualifications * 7 to 10 years of experience in a financial institution in risk management, credit risk, or financial analysis. * Experience with regulatory capital ...
Credit Risk Modelling Senior Associate (Bilingual FR/EN)
Montreal, QC · Hybrid
CA$73K - CA$122K/yr
Line of Service Assurance Industry/Sector Not Applicable Specialism Financial Risk Management Level Associate & Summary A career in our Financial Services Risk and Regulatory (FS R&R) Credit Risk ...
Credit Risk Modelling Senior Associate (Bilingual FR/EN)
Montreal, QC · Hybrid
CA$73K - CA$122K/yr
Line of Service Assurance Industry/Sector Not Applicable Specialism Financial Risk Management Level Associate & Summary A career in our Financial Services Risk and Regulatory (FS R&R) Credit Risk ...
This role involves contributing to the identification, assessment, and management of risks ... Financial Industry Regulatory Authority ("FINRA"
This role involves contributing to the identification, assessment, and management of risks ... Financial Industry Regulatory Authority ("FINRA"
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
... financial product suite into new categories. Role Overview Risk management at this company is not a brake on growth -- it is the engine that powers it. The Lead Risk Manager will own end-to-end fraud ...
Quick apply
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
... financial product suite into new categories. Role Overview Risk management at this company is not a brake on growth -- it is the engine that powers it. The Lead Risk Manager will own end-to-end fraud ...
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
... financial product suite into new categories. Role Overview Risk management at this company is not a brake on growth -- it is the engine that powers it. The Lead Risk Manager will own end-to-end fraud ...
Quick apply
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
... financial product suite into new categories. Role Overview Risk management at this company is not a brake on growth -- it is the engine that powers it. The Lead Risk Manager will own end-to-end fraud ...
It also means being at the centre of ambitious economic and financial projects to see further and ... As Senior Analyst, Operational Risk Management, you are a subjectmatter expert who supports the ...
It also means being at the centre of ambitious economic and financial projects to see further and ... As Senior Analyst, Operational Risk Management, you are a subjectmatter expert who supports the ...
Financial Risk Management information
See Quebec salary details
$28K - $41K
9% of jobs
$41K - $54K
7% of jobs
$66.6K is the 25th percentile. Wages below this are outliers.
$54K - $67K
8% of jobs
$67K - $80K
15% of jobs
The median wage is $90.3K / yr.
$80K - $93K
13% of jobs
$93K - $106K
16% of jobs
$113.4K is the 75th percentile. Wages above this are outliers.
$106K - $119K
12% of jobs
$119K - $132K
11% of jobs
$132K - $145K
4% of jobs
$145K - $158K
3% of jobs
$158K - $171K
2% of jobs
$28K
$95.6K
$171K
How much do financial risk management jobs pay per year?
What are careers in risk management?
What is a Financial Risk Management job?
A Financial Risk Management job involves identifying, assessing, and mitigating risks that could impact a company's financial health. Professionals in this field analyze market trends, credit risks, and operational risks to develop strategies that protect assets and profitability. They use financial modeling, risk assessment tools, and regulatory guidelines to ensure compliance and minimize potential losses. Common roles include risk analysts, credit risk managers, and compliance officers in industries like banking, insurance, and investment firms.
What are the typical career advancement opportunities for someone in Financial Risk Management?
Professionals in Financial Risk Management often start as analysts or associates and can progress to roles such as Risk Manager, Senior Risk Analyst, or Director of Risk Management with experience and proven expertise. Career advancement typically involves taking on greater responsibility for complex risk analysis, decision-making, and leading teams or projects. Earning specialized certifications and gaining exposure to different risk disciplines (such as market risk, credit risk, or operational risk) can also accelerate career growth. Many organizations provide opportunities for cross-functional collaboration, which helps develop leadership and strategic planning skills important for moving into executive-level positions.
What are the key skills and qualifications needed to thrive in the Financial Risk Management position, and why are they important?
To thrive in Financial Risk Management, you need a strong analytical background, proficiency in financial modeling, and typically a degree in finance, economics, or a related field. Familiarity with risk assessment software, data analytics tools like Excel or SQL, and certifications such as FRM (Financial Risk Manager) or CFA are highly valued. Excellent problem-solving skills, attention to detail, and strong communication abilities help professionals effectively present risks and collaborate with stakeholders. These competencies are crucial for accurately identifying, analyzing, and mitigating financial risks to support an organization's financial health.
What is the highest paying risk management job?
What does risk management do in finance?
What is a financial risk management job?

Full-time
Re-posted 18 days ago
Job description
Official Internal Job Title:
Financial Risk Management ConsultantStatus:
RegularJob Description:
En tant que conseiller(-ere) en actuariat - gestion des risques, vous jouez un role cle dans le developpement, l'evolution et la mise en uvre du cadre de gestion integree des risques lies a l'assurance de dommages. En collaboration avec l'actuariat corporatif et les equipes de la vicepresidence executive assurance de dommages, vous veillez a ce que les risques soient adequatement mesures et geres selon l'appetit au risque, soutenant ainsi la solidite financiere et la strategie de Beneva.
Vous contribuez aux travaux lies a la solvabilite, notamment au processus ORSA, aux simulations de crise et aux cibles de capital, et vous preparez les analyses utilisees par les instances decisionnelles, incluant le comite des risques financiers, la haute direction et le Conseil d'administration.
Joignez-vous a une organisation ou vous pourrez faire grandir votre expertise!
Vous vous realiserez dans les fonctions suivantes :
Contribuer a l'evolution et a la realisation du processus ORSA
Mener le processus d'attestation du Test du capital minimal (TCM)
Developper et faire evoluer les outils d'identification, d'evaluation et de suivi des risques, dont le modele de capital interne
Coordonner les simulations de crise et synthetiser leurs resultats pour les instances
Effectuer des analyses recurrentes ou ponctuelles pour eclairer les decisions strategiques
Participer a la revision de l'appetit au risque, a l'identification et au suivi des indicateurs de risques
Assurer l'evolution de l'appetit pour l'assurance de dommages et la modelisation des indicateurs, incluant leur integration dans la strategie de reassurance
Produire les rapports et tableaux de bord destines a la haute direction et au Conseil d'administration
Contribuer a la redaction des politiques, directives et procedures
Collaborer a la validation des modeles dans le cadre de la gestion du risque de modele
Participer aux travaux lies a la gestion du risque climatique
Offrir un soutien aux autres domaines de risques financiers (marche, credit, liquidite), au besoin
Se tenir a jour sur les meilleures pratiques et methodes en gestion des risques
Vos talents et qualifications :
Baccalaureaten actuariat
Titre de FCAS, FICA, CFA ou FRM,un atout
Minimum de7ans d'experience pertinente en gestion des risques au sein d'une equipe de2e ligne de defense,en actuariat corporatif,en modelisationfinanciere et actuarielle,ou dans un domaine connexe
Connaissance d'outils quantitatifs et de modelisation (Excel, VBA, SAS, R, Python, Power BI)
Maitrise de la langue francaise, tant a l'oral qu'a l'ecrit, ainsi qu'une maitrise avancee de la langue anglaise, tant a l'oral qu'a l'ecrit, en raison de la nature des taches ou d'interactions avec des collegues, partenaires, clients ou fournisseurs anglophones, ou afin de repondre aux objectifs de croissance de l'entreprise.
#S1
#LI-Hybrid
Beneva is an equal opportunity employer, so we encourage all Women, persons with disabilities, Indigenous people as well as visible and ethnic minorities to apply.
Purpose : True to its purpose, Beneva places people at the heart of its actions and contributes to the well-being of the community. It accompanies its clients in all stages of their lives, both for their insurance and for their financial services.
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