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Internship Liquidity Risk Management Jobs in Ontario

... management * Understanding and assisting risk reporting including market, credit, and liquidity risk metrics; prepare regular risk profiles and escalate issues as required * Analyse operating ...

Solid understanding of financial data domains such as general ledger, cash management, liquidity, regulatory reporting, and risk analytics. * Experience working in or with financial institutions ...

Execute enhancements to the interest rate risk, foreign exchange risk management and market risk ... Strategic Liquidity Management * Act as primary liaison with 3rd party consultants managing DUCA ...

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Internship Liquidity Risk Management information

What cities in Ontario are hiring for Internship Liquidity Risk Management jobs?

Cities in Ontario with the most Internship Liquidity Risk Management job openings:

Junior Financial Analyst

Murchinson

Toronto, ON • On-site

CA$81K/yr

Full-time

Medical, PTO

Re-posted 3 days ago


Job description

Terms of Employment: Permanent, full-time, 37.5 hours per week

Start Date: June 15, 2026

Wage: $41.60/hour ($81,120/year)

Benefits: extended health & dental

Language of Work: English

Education Requirements: Bachelor's degree in finance, accounting, business administration, commerce, economics, or a related field; OR a college/university diploma in a related field combined with relevant work experience in finance or fund administration.

Experience Requirements: Minimum 1 years of experience in financial analysis, fund accounting, or a related finance role, including exposure to NAV calculations, P&L reporting, and risk reporting.

Specific Skills:

  • Experience with financial modelling and analysis tools (Intermediate Excel)
  • Mid-Level Analytical, quantitative, and report-writing skills
  • Understanding of fund accounting, financial markets, and risk management principles
  • Ability to assist in managing multiple priorities and meet deadlines

Main Duties:

  • Ability to calculate and review Net Asset Values (NAVs) for funds under management; verify accuracy of pricing, accruals, and fund-level positions
  • Liaise with third-party fund administrators to ensure accurate and timely reporting, resolve discrepancies, and oversee day-to-day fund administration activities
  • Assist in preparing and analysing profit and loss (P&L) statements, identifying drivers of performance and reporting findings to management
  • Understanding and assisting risk reporting including market, credit, and liquidity risk metrics; prepare regular risk profiles and escalate issues as required
  • Analyse operating expenditures (OPEX) and capital expenditures (CAPEX), prepare variance analyses, and support budget planning and forecasting
  • Support the financial review of legal agreements and contracts, assessing financial implications and advising on related provisions
  • Develop, implement, and maintain tools and policies for managing and analyzing the financial portfolio and treasury function.