By providing the quantitative rigor and analytical insights that underpin our financial risk management, you make it possible for ATB to grow sustainably, compete with the "big players," and navigate ...
By providing the quantitative rigor and analytical insights that underpin our financial risk management, you make it possible for ATB to grow sustainably, compete with the "big players," and navigate ...
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Define the rules, don't just follow them -- Lead end-to-end financial risk strategies, from opportunity identification through design, testing, and post-production monitoring. * Build AI-driven ...
Quick apply
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Define the rules, don't just follow them -- Lead end-to-end financial risk strategies, from opportunity identification through design, testing, and post-production monitoring. * Build AI-driven ...
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Define the rules, don't just follow them -- Lead end-to-end financial risk strategies, from opportunity identification through design, testing, and post-production monitoring. * Build AI-driven ...
Quick apply
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Define the rules, don't just follow them -- Lead end-to-end financial risk strategies, from opportunity identification through design, testing, and post-production monitoring. * Build AI-driven ...
Senior Risk Analyst
Calgary, AB · Hybrid
The successful candidate must have strong analytical skills in the areas of statistics, theoretical finance, risk analysis, and computer programming. This role will appeal to individuals who are ...
Senior Risk Analyst
Calgary, AB · Hybrid
The successful candidate must have strong analytical skills in the areas of statistics, theoretical finance, risk analysis, and computer programming. This role will appeal to individuals who are ...
Do you want to apply and further develop your strategic advisory skills within a growing team focused on plan design, financial risk and employee value, while helping shape the future of Aon's Wealth ...
Do you want to apply and further develop your strategic advisory skills within a growing team focused on plan design, financial risk and employee value, while helping shape the future of Aon's Wealth ...
Ensure strong internal controls, compliance with accounting standards, and effective financial risk management. Contribute to strategic initiatives and finance transformation efforts, including ...
Ensure strong internal controls, compliance with accounting standards, and effective financial risk management. Contribute to strategic initiatives and finance transformation efforts, including ...
Underwriting goes beyond risk assessments here. We're focused on making thoughtful, well-informed decisions that provide financial security to Canadians and their loved ones. By joining Sun Life, you ...
Underwriting goes beyond risk assessments here. We're focused on making thoughtful, well-informed decisions that provide financial security to Canadians and their loved ones. By joining Sun Life, you ...
Underwriting goes beyond risk assessments here. We're focused on making thoughtful, well-informed decisions that provide financial security to Canadians and their loved ones. By joining Sun Life, you ...
Underwriting goes beyond risk assessments here. We're focused on making thoughtful, well-informed decisions that provide financial security to Canadians and their loved ones. By joining Sun Life, you ...
The Risk Services Consultant is responsible for providing consulting services to customers as ... We offer competitive salaries and support your financial health through our employee share purchase ...
The Risk Services Consultant is responsible for providing consulting services to customers as ... We offer competitive salaries and support your financial health through our employee share purchase ...
Manager, CFO
Calgary, AB · On-site
Regulatory Filings & Risk Management Ensure accurate preparation and submission of GST and other compliance filings; proactively manage financial risk. * Workflow Coordination Collaborate with peers ...
Quick apply
Manager, CFO
Calgary, AB · On-site
Regulatory Filings & Risk Management Ensure accurate preparation and submission of GST and other compliance filings; proactively manage financial risk. * Workflow Coordination Collaborate with peers ...
Manager, CFO
Calgary, AB · On-site
Regulatory Filings & Risk Management Ensure accurate preparation and submission of GST and other compliance filings; proactively manage financial risk. * Workflow Coordination Collaborate with peers ...
Manager, CFO
Calgary, AB · On-site
Regulatory Filings & Risk Management Ensure accurate preparation and submission of GST and other compliance filings; proactively manage financial risk. * Workflow Coordination Collaborate with peers ...
Director, High Risk Portfolio Management Team
Calgary, AB · On-site
CA$85K - CA$185K/yr
Conducts advanced financial analysis and risk assessments of clients demonstrating signs of weakness or deterioration, providing the LOB with actionable insights and recommended riskmitigation ...
Director, High Risk Portfolio Management Team
Calgary, AB · On-site
CA$85K - CA$185K/yr
Conducts advanced financial analysis and risk assessments of clients demonstrating signs of weakness or deterioration, providing the LOB with actionable insights and recommended riskmitigation ...
Executive Director, Finance and Corporate Services
Cochrane, AB · On-site
$150 - $200/hr
Direct multi-year financial planning, budgeting, forecasting, and enterprise financial risk management. * Ensure financial plans support asset management, infrastructure lifecycle requirements, and ...
Executive Director, Finance and Corporate Services
Cochrane, AB · On-site
$150 - $200/hr
Direct multi-year financial planning, budgeting, forecasting, and enterprise financial risk management. * Ensure financial plans support asset management, infrastructure lifecycle requirements, and ...
Executive Director, Finance and Corporate Services
Cochrane, AB · On-site
$150 - $200/hr
Direct multi‑year financial planning, budgeting, forecasting, and enterprise financial risk management. * Ensure financial plans support asset management, infrastructure lifecycle requirements, and ...
Executive Director, Finance and Corporate Services
Cochrane, AB · On-site
$150 - $200/hr
Direct multi‑year financial planning, budgeting, forecasting, and enterprise financial risk management. * Ensure financial plans support asset management, infrastructure lifecycle requirements, and ...
Oversee treasury activities, including liquidity management, covenant compliance, and financial risk management. Corporate Development: Lead the identification, evaluation, negotiation, and execution ...
Oversee treasury activities, including liquidity management, covenant compliance, and financial risk management. Corporate Development: Lead the identification, evaluation, negotiation, and execution ...
Risk Management involves analyzing and minimizing a corporation's exposure to risk while conserving its human, financial, and physical assets through insurance and/or through contractual transfer of ...
Risk Management involves analyzing and minimizing a corporation's exposure to risk while conserving its human, financial, and physical assets through insurance and/or through contractual transfer of ...
Risk Management involves analyzing and minimizing a corporation's exposure to risk while conserving its human, financial, and physical assets through insurance and/or through contractual transfer of ...
Risk Management involves analyzing and minimizing a corporation's exposure to risk while conserving its human, financial, and physical assets through insurance and/or through contractual transfer of ...
Catastrophe Risk Specialist
Calgary, AB · Hybrid
CA$85K - CA$115K/yr
... Financial Group, a leading national distributor of personal and business insurance. In March of ... Job Overview Reporting to the Manager, Catastrophe Risk, this role is responsible for analytics and ...
Catastrophe Risk Specialist
Calgary, AB · Hybrid
CA$85K - CA$115K/yr
... Financial Group, a leading national distributor of personal and business insurance. In March of ... Job Overview Reporting to the Manager, Catastrophe Risk, this role is responsible for analytics and ...
... financial strength, underwriting excellence, superior claims handling expertise and local ... KEY OBJECTIVE We are currently seeking candidates for a Property & Casualty Risk Engineering ...
... financial strength, underwriting excellence, superior claims handling expertise and local ... KEY OBJECTIVE We are currently seeking candidates for a Property & Casualty Risk Engineering ...
About the qualifications * 10+ years experience working in risk management or operations at a Canadian Financial Institution, with at least 5 years of experience in a management role. * Successfully ...
About the qualifications * 10+ years experience working in risk management or operations at a Canadian Financial Institution, with at least 5 years of experience in a management role. * Successfully ...
Financial Risk information
What is the difference between Financial Risk vs Credit Analyst?
| Aspect | Financial Risk | Credit Analyst |
|---|---|---|
| Primary Focus | Identifying and managing financial risks across investments, markets, and corporate strategies | Assessing creditworthiness of individuals or companies to determine loan eligibility |
| Required Credentials | Finance, risk management certifications, often a degree in finance or economics | Finance, accounting, or economics degree; certifications like CFA or credit-specific training |
| Work Environment | Financial institutions, investment firms, corporate risk departments | Banks, lending institutions, credit agencies |
| Industry Usage | Widely used in banking, investment, and corporate sectors for risk mitigation | Primarily in banking and lending sectors for credit assessment |
Financial Risk professionals focus on identifying and mitigating potential financial losses across various areas, while Credit Analysts specialize in evaluating the creditworthiness of borrowers to facilitate lending decisions. Both roles require finance-related credentials and are integral to financial institutions, but their core responsibilities differ significantly.
Is a financial risk analyst a good career?
What is a financial risk job?
What are the most commonly searched types of Financial Risk jobs in Calgary, AB?
The most popular types of Financial Risk jobs in Calgary, AB are:
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Cities near Calgary, AB with the most Financial Risk job openings:

Full-time
This job post has expired 2 days ago. Applications are no longer accepted.
Job description
At ATB, we exist to make it possible for our clients, team members and communities. Our purpose is more than aspirational. It's a real commitment we live every day through our values (what we call the ATB ID).
Life at ATB is about more than work. In fact, we're consistently recognized as one of Canada's top employers thanks to our high-care, high-performance culture, upheld by the three commitments we make to our team members: Impact in action: No matter where you are in the organization, you're empowered to make an impact in the lives of our clients and communities. Thrive together: We want you-the unique, authentic you-to feel safe and celebrated at work.
We're on a continuous journey to build the most flexible and inclusive programs. Ready for tomorrow: We want to enable your success through interesting and challenging work, performance enablement, and learning and development. Our Purpose At ATB, we exist to make it possible for our clients, team members, and communities.
For us, a strong second line of defense isn't just about protecting the bank; it's about enabling our business to innovate and serve our clients better. By providing the quantitative rigor and analytical insights that underpin our financial risk management, you make it possible for ATB to grow sustainably, compete with the "big players," and navigate a complex market with confidence. About the Role As the Senior Analyst, Quantitative Risk Analytics, you will be a vital hands-on technical engine within our fast-growing Financial Risk Management (FRM) team.
In an "all-hands-on-deck" environment where we value curiosity, experimentation, and technical rigor, your work directly impacts how ATB quantifies and manages financial risk. In this role, you will focus on the quantitative engine of the bank-authoring and maintaining methodology documentation, conducting regular model calibrations, executing robust backtesting, and supporting ongoing model enhancements across key 2nd Line of Defense (2LoD) frameworks, such as Value at Risk (VaR), Potential Future Exposure (PFE), and X-Valuation Adjustments (XVA). You will play a key role in transitioning our quantitative oversight from ad-hoc analysis to a highly structured, automated, and mature practice.
A Day in the Life You'll have the flexibility to work in a hybrid setup across our Calgary, Edmonton, or Toronto offices. Your week will combine hands-on coding, mathematical analysis, and clear quantitative writing. A typical week might involve: Methodology Documentation: Authoring or updating comprehensive, audit-ready methodology documents for financial risk models, ensuring mathematical formulations, assumptions, and risk taxonomies are clearly articulated.
Model Calibration & Inventory: Reviewing and calibrating key model parameters in Murex while maintaining our model inventory, issue tracking logs, and model status backlogs. Backtesting & MRM Reporting: Backtesting risk models (e.g., VaR, PFE), investigating breaches, and authoring quarterly backtesting report submissions for Model Risk Management (MRM). New Product Model Setup & Testing: Partnering on new product initiatives (e.g., model setup, testing, and VaR/PFE methodology documentation for new products or asset classes) prior to production deployment
Collaboration & Problem Solving: Working with colleagues across FRM, Market Risk, and Trade Floor teams to resolve data feed discrepancies or clarify model outputs. What You'll Do Methodology Documentation & Risk Governance: Lead the drafting, updating, and maintenance of clear, thorough methodology documentation for 2LoD financial risk models (VaR, SVaR, PFE, XVA). Contribute to operationalizing our FRM Risk Taxonomy and ensure all documentation resides in a centralized repository meeting high internal governance standards.
Backtesting & Performance Tracking: Develop, execute, and formalize backtesting frameworks and performance monitoring routines across material financial risk models. Analyze exceptions, perform root-cause analysis on breaches, and author quarterly backtesting submissions for Model Risk Management (MRM). New Product Model Onboarding & Testing: Support quantitative requirements and model setup for new products and business initiatives.
Support User Acceptance Testing (UAT), impact analysis, and validation testing for VaR and PFE models prior to MRM submission and production deployment. Model Parameter Calibration & Review: Execute routine and event-driven model parameter reviews and calibrations. Ensure model inputs, parameter mappings, and market data assumptions accurately reflect prevailing market conditions.
Model Inventory & Issue Tracking: Maintain up-to-date documentation on model status, outstanding observations, and backlogs. Own the central issue tracking log and support standardized model review processes across 1LoD and 2LoD model usage. Data Integration & Analytics: Build and maintain automated data pipelines and analytical scripts to streamline model monitoring, stress testing, and quantitative reporting.
Audit & Validation Support: Assist in preparing quantitative evidence, backtesting history, and calibration documentation for reviews conducted by Model Risk or Internal Assurance (IA). Knowledge, Skills and Experience What You'll Bring: Education: A Master's degree in a quantitative field (Quantitative Finance, Mathematics, Statistics, Financial Engineering, Physics, Computer Science, or related field). Experience: 2-5 years of hands-on experience in quantitative risk analysis, model development, model validation, or financial engineering within a capital markets or banking environment.
Technical Stack: Strong hands-on coding capabilities in Python and SQL (BigQuery). Direct experience or familiarity with capital markets platforms like Murex, as well as market data tools (Bloomberg/BQL), is a strong asset. Quantitative Foundations: Strong theoretical knowledge of financial risk metrics (VaR, SVaR, PFE, XVA), pricing models, time-series analysis, probability distributions, and backtesting techniques.
Technical Writing & Organization: Demonstrated ability to articulate complex mathematical models, assumptions, and statistical concepts in clear, structured methodology documentation. Proven ability to organize model inventories, track issues, and deliver structured reporting. The "ATB Fit": A detail-oriented problem solver with a learning mindset.
You take ownership of your tasks, enjoy building efficient processes, and thrive in a collaborative, cross-functional team environment. Workplace Arrangement This position has a hybrid work arrangement. On average, this means 1-2 days on-site per week.
Please note that this is subject to change due to business priorities. Salary Range $91,000 to $108,000 annually. Don't meet all the requirements on the list.
A resume only goes so far in expressing who you are and the unique perspectives you bring. If you believe your skills and experience align with the role-but you might not check all the boxes-we want to hear from you. We encourage candidates from all work backgrounds, equity-seeking communities and experience levels to apply.
If you're seeking a career where your drive, perspective and growth are celebrated, we want to hear from you. We're dedicated to building a workforce reflective of those within our communities, and a culture where our team members are equipped with what they need to succeed-their way. Part of creating an inclusive workplace is recognizing our role in advancing Truth and Reconciliation.
We are committed to meeting and exceeding the standards set out in the Partnership Accreditation in Indigenous Relations program created by the Canadian Council for Aboriginal Business. What happens next. If you are shortlisted, you'll hear from us after the posting closes.
Check out our How We Hire page to learn more about our hiring process. If you need any accommodations throughout this process, please let us know at talentteam@atb.com Stay in touch We're excited that you're interested in a career with ATB. Follow us on LinkedIn, Facebook and Instagram to learn more about what our team is up to.