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 ...
Develop and implement project risk management frameworks and processes * Identify, analyze, and ... Work closely with project, finance, legal, and operations teams * Prepare risk analyses and reports ...
Develop and implement project risk management frameworks and processes * Identify, analyze, and ... Work closely with project, finance, legal, and operations teams * Prepare risk analyses and reports ...
Act as a coordinator for non-financial risks for recovery plan exercises, simulation exercises, stress scenarios and any other forward-looking exercise carried out by integrated risk management, by:
Act as a coordinator for non-financial risks for recovery plan exercises, simulation exercises, stress scenarios and any other forward-looking exercise carried out by integrated risk management, by:
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... Key Responsibilities • Define the rules, don't just follow them -- Lead end-to-end financial risk ...
Quick apply
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... Key Responsibilities • Define the rules, don't just follow them -- Lead end-to-end financial risk ...
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... Key Responsibilities • Define the rules, don't just follow them -- Lead end-to-end financial risk ...
Quick apply
Lead Risk Manager, Payment Fraud
Montreal, QC · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... Key Responsibilities • Define the rules, don't just follow them -- Lead end-to-end financial risk ...
Senior Operational Risk Manager
Montreal, QC · Hybrid
CA$128K - CA$160K/yr
Exposure to non-financial risks such as Compliance, Cybersecurity, Third-Party Risk Management, and Data Governance is an asset. * Excellent analytical, communication, and presentation skills.
Senior Operational Risk Manager
Montreal, QC · Hybrid
CA$128K - CA$160K/yr
Exposure to non-financial risks such as Compliance, Cybersecurity, Third-Party Risk Management, and Data Governance is an asset. * Excellent analytical, communication, and presentation skills.
Your new role Reporting to the Manager, Project Controls, the Risk Management Lead is responsible ... What you'll need to succeed University degree in engineering, project management, finance, risk ...
Your new role Reporting to the Manager, Project Controls, the Risk Management Lead is responsible ... What you'll need to succeed University degree in engineering, project management, finance, 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"
Credit Risk Modelling Senior Associate (Bilingual FR/EN)
Montreal, QC · Hybrid
CA$73.40K - CA$122.40K/yr
Line of Service Assurance Industry/Sector Not Applicable Specialism Financial Risk Management Level Senior Associate & Summary A career in our Financial Services Risk and Regulatory (FS R&R) Credit ...
Credit Risk Modelling Senior Associate (Bilingual FR/EN)
Montreal, QC · Hybrid
CA$73.40K - CA$122.40K/yr
Line of Service Assurance Industry/Sector Not Applicable Specialism Financial Risk Management Level Senior Associate & Summary A career in our Financial Services Risk and Regulatory (FS R&R) Credit ...
Associate Third-Party Risk Management
Montreal, QC · On-site +1
Your Team This position reports to the Director of Third‑Party Risk Management & Financial Markets infrastructure (FMI). The role sits within the Operational Business Strategies, Resilience and ...
Associate Third-Party Risk Management
Montreal, QC · On-site +1
Your Team This position reports to the Director of Third‑Party Risk Management & Financial Markets infrastructure (FMI). The role sits within the Operational Business Strategies, Resilience and ...
Associate Third-Party Risk Management
Montreal, QC · On-site +1
Your Team This position reports to the Director of Third‑Party Risk Management & Financial Markets infrastructure (FMI). The role sits within the Operational Business Strategies, Resilience and ...
Associate Third-Party Risk Management
Montreal, QC · On-site +1
Your Team This position reports to the Director of Third‑Party Risk Management & Financial Markets infrastructure (FMI). The role sits within the Operational Business Strategies, Resilience and ...
Bachelor's degree in insurance, risk management, Finance, Math, Economics, or a related field is ... preferred * Excellent communication, presentation, and negotiation skills, with the ability to ...
Bachelor's degree in insurance, risk management, Finance, Math, Economics, or a related field is ... preferred * Excellent communication, presentation, and negotiation skills, with the ability to ...
Manage daily cash positioning, bank balances, and short‑term liquidity needs * Prepare and ... Prepare treasury reports for Finance leadership, including cash, debt, and risk metrics * Support ...
Quick apply
Manage daily cash positioning, bank balances, and short‑term liquidity needs * Prepare and ... Prepare treasury reports for Finance leadership, including cash, debt, and risk metrics * Support ...
It also means being at the centre of ambitious economic and financial projects to see further and ... As Senior Director, Loan Writing - Credit Risk Management, you are responsible for credit due ...
It also means being at the centre of ambitious economic and financial projects to see further and ... As Senior Director, Loan Writing - Credit Risk Management, you are responsible for credit due ...
... to Senior Manager - Governance and Transformation - Operational and third-Party risk. Our team ... University degree in mathematics, finance, or a related field, and a minimum of six (6) years of ...
... to Senior Manager - Governance and Transformation - Operational and third-Party risk. Our team ... University degree in mathematics, finance, or a related field, and a minimum of six (6) years of ...
... to Senior Manager - Governance and Transformation - Operational and third-Party risk. Our team ... University degree in mathematics, finance, or a related field, and a minimum of six (6) years of ...
... to Senior Manager - Governance and Transformation - Operational and third-Party risk. Our team ... University degree in mathematics, finance, or a related field, and a minimum of six (6) years of ...
As Senior Manager, HR Privacy Risk (Canada, USA, Caribbean), you will make a positive impact by ... Relevant privacy experience in Financial Services, delivering cross-company and/or jurisdiction ...
As Senior Manager, HR Privacy Risk (Canada, USA, Caribbean), you will make a positive impact by ... Relevant privacy experience in Financial Services, delivering cross-company and/or jurisdiction ...
You'll provide advice covering solvency, economic capital, risk management, mergers and ... Our team helps insurers address new financial reporting requirements by assessing the financial and ...
You'll provide advice covering solvency, economic capital, risk management, mergers and ... Our team helps insurers address new financial reporting requirements by assessing the financial and ...
Financial Risk Manager information
See Quebec salary details
$28.5K - $40.5K
6% of jobs
$40.5K - $52.5K
5% of jobs
$52.5K - $64.5K
6% of jobs
$72.9K is the 25th percentile. Wages below this are outliers.
$64.5K - $76.5K
10% of jobs
$76.5K - $88.5K
13% of jobs
The median wage is $96.2K / yr.
$88.5K - $100.5K
15% of jobs
$100.5K - $112.5K
11% of jobs
$123.2K is the 75th percentile. Wages above this are outliers.
$112.5K - $124.5K
9% of jobs
$124.5K - $136.5K
8% of jobs
$136.5K - $148.5K
11% of jobs
$148.5K - $160.5K
4% of jobs
$28.5K
$100.9K
$160.5K
How much do financial risk manager jobs pay per year?
What are the key skills and qualifications needed to thrive as a Financial Risk Manager, and why are they important?
What are some common challenges Financial Risk Managers face when working with cross-functional teams?
What does a Financial Risk Manager do?
What is the difference between Financial Risk Manager vs Credit Analyst?
| Aspect | Financial Risk Manager | Credit Analyst |
|---|---|---|
| Certifications | FRM, CFA | Fitch, CFA |
| Work Environment | Financial institutions, banks, investment firms | Banks, lending institutions, credit agencies |
| Primary Focus | Assessing and managing overall financial risks | Evaluating creditworthiness of borrowers |
| Industry Usage | Risk management departments, trading floors | Loan departments, credit risk units |
While both roles involve financial analysis, a Financial Risk Manager focuses on identifying and mitigating broad financial risks across an organization, often requiring advanced certifications like FRM or CFA. A Credit Analyst specializes in assessing individual borrowers' creditworthiness to inform lending decisions. Both roles are vital in financial institutions but serve different strategic purposes.

Full-time
Posted 4 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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