Lead daily market risk analysis, monitoring, and reporting activities, including MTM, VaR, open positions, valuation controls, and management commentary for North American commodity trading ...
Lead daily market risk analysis, monitoring, and reporting activities, including MTM, VaR, open positions, valuation controls, and management commentary for North American commodity trading ...
Support quarterly management meetings for business units, to discuss risk policy approvals, and ongoing market risk communication and compliance monitoring. * Monitor and report Policy non-compliance ...
Support quarterly management meetings for business units, to discuss risk policy approvals, and ongoing market risk communication and compliance monitoring. * Monitor and report Policy non-compliance ...
Manager, Private Market Risk
Calgary, AB · On-site
What You Will Do As a member of the Investment Risk Management team, you will support Product Risk Leads by: * Conducting independent risk assessments of private market investments in Funds, Co ...
Manager, Private Market Risk
Calgary, AB · On-site
What You Will Do As a member of the Investment Risk Management team, you will support Product Risk Leads by: * Conducting independent risk assessments of private market investments in Funds, Co ...
This role will support the Director by providing insights on risk management activities through a solid working understanding of market risk and reporting, improving daily risk reporting practices ...
This role will support the Director by providing insights on risk management activities through a solid working understanding of market risk and reporting, improving daily risk reporting practices ...
This role will support the Director by providing insights on risk management activities through a solid working understanding of market risk and reporting, improving daily risk reporting practices ...
This role will support the Director by providing insights on risk management activities through a solid working understanding of market risk and reporting, improving daily risk reporting practices ...
Orchestrate priorities and interdependencies across Trading, Market Risk, Product Control, Trade ... Experience: * 10+ years of experience in trading, risk management, middle office, or related ...
Orchestrate priorities and interdependencies across Trading, Market Risk, Product Control, Trade ... Experience: * 10+ years of experience in trading, risk management, middle office, or related ...
Represents Risk Management in governance and operational forums, surfacing emerging risks, systemic exposures, and market trends that may impact corporate strategy and competitiveness * Leads key ...
Represents Risk Management in governance and operational forums, surfacing emerging risks, systemic exposures, and market trends that may impact corporate strategy and competitiveness * Leads key ...
Represents Risk Management in governance and operational forums, surfacing emerging risks, systemic exposures, and market trends that may impact corporate strategy and competitiveness * Leads key ...
Represents Risk Management in governance and operational forums, surfacing emerging risks, systemic exposures, and market trends that may impact corporate strategy and competitiveness * Leads key ...
... management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30 locations around the world, including 20 ...
... management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30 locations around the world, including 20 ...
Director, High Risk Portfolio Management Team
CA$86K - CA$160K/yr
Commercial Sales & Service Overview The HighRisk Portfolio Management Team (HRPMT) enhances CCB ... Implements adjustments to risk oversight strategies in response to shifting market, economic, or ...
Director, High Risk Portfolio Management Team
CA$86K - CA$160K/yr
Commercial Sales & Service Overview The HighRisk Portfolio Management Team (HRPMT) enhances CCB ... Implements adjustments to risk oversight strategies in response to shifting market, economic, or ...
... market data to identify trends and patterns, using quantitative techniques to analyze data to ... A MBA, and/or risk management certification. * Bilingualism (English & French). Posting closing ...
... market data to identify trends and patterns, using quantitative techniques to analyze data to ... A MBA, and/or risk management certification. * Bilingualism (English & French). Posting closing ...
Catastrophe Risk Specialist
Calgary, AB · Hybrid
CA$85K - CA$115K/yr
... market conditions, external market salary data, internal pay equity and the knowledge, skills ... 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
... market conditions, external market salary data, internal pay equity and the knowledge, skills ... Job Overview Reporting to the Manager, Catastrophe Risk, this role is responsible for analytics and ...
Director, Client Service and Risk Management, Indigenous Wealth
Calgary, AB · On-site
CA$100K/yr
As Director, Client Service & Risk Management for Indigenous Wealth , you will lead and drive the ... Generates sustainable shareholder returns and above market shareholder value WMRT Job Skills ...
Director, Client Service and Risk Management, Indigenous Wealth
Calgary, AB · On-site
CA$100K/yr
As Director, Client Service & Risk Management for Indigenous Wealth , you will lead and drive the ... Generates sustainable shareholder returns and above market shareholder value WMRT Job Skills ...
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Role Overview Risk management at this company is not a brake on growth -- it is the engine that ... market today.
Quick apply
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Role Overview Risk management at this company is not a brake on growth -- it is the engine that ... market today.
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Role Overview Risk management at this company is not a brake on growth -- it is the engine that ... market today.
Quick apply
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Role Overview Risk management at this company is not a brake on growth -- it is the engine that ... market today.
AVP Credit Risk Modelling
Calgary, AB · Hybrid
Prepare quarterly stress testing results across, credit, market as well as the cards and payments business About the qualifications: * 10+ years of experience working in quantitative risk management ...
AVP Credit Risk Modelling
Calgary, AB · Hybrid
Prepare quarterly stress testing results across, credit, market as well as the cards and payments business About the qualifications: * 10+ years of experience working in quantitative risk management ...
... management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30 locations around the world, including 20 ...
... management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30 locations around the world, including 20 ...
Ensure adherence to market risk management policies and procedures across the organization. * Manage fixed assets by tracking acquisitions, disposals, and transfers, maintaining the sub-ledger, and ...
Ensure adherence to market risk management policies and procedures across the organization. * Manage fixed assets by tracking acquisitions, disposals, and transfers, maintaining the sub-ledger, and ...
Trader - Market Making Specialist
Calgary, AB · On-site +1
We are looking for a highly skilled and motivated Trader - Market Making Specialist to join our ... Manage risk exposure through quantitative analysis and effective hedging strategies. * Collaborate ...
Trader - Market Making Specialist
Calgary, AB · On-site +1
We are looking for a highly skilled and motivated Trader - Market Making Specialist to join our ... Manage risk exposure through quantitative analysis and effective hedging strategies. * Collaborate ...
We are looking for a highly skilled and motivated Trader - Market Making Specialist to join our ... Manage risk exposure through quantitative analysis and effective hedging strategies. * Collaborate ...
Quick apply
We are looking for a highly skilled and motivated Trader - Market Making Specialist to join our ... Manage risk exposure through quantitative analysis and effective hedging strategies. * Collaborate ...
Market Risk Management information
How does a typical day in Market Risk Management involve collaboration with other departments?
What is the highest paying risk management job?
What is a market risk job?
What are the key skills and qualifications needed to thrive in Market Risk Management, and why are they important?
What is the difference between Market Risk Management vs Credit Risk Analysis?
| Aspect | Market Risk Management | Credit Risk Analysis |
|---|---|---|
| Primary Focus | Managing risks from market fluctuations, such as interest rates, currency, and equity prices | Assessing the creditworthiness of borrowers and managing credit exposure |
| Required Credentials | Finance, risk management certifications, often CFA or FRM | Finance, credit analysis certifications, often CFA or credit-specific courses |
| Work Environment | Financial institutions, trading floors, risk departments | Banks, lending institutions, credit departments |
| Industry Usage | Widely used in trading, investment, and risk departments | Common in banking, lending, and credit institutions |
While both roles involve risk assessment, Market Risk Management focuses on market-related risks like price fluctuations, whereas Credit Risk Analysis concentrates on the creditworthiness of borrowers. Both require similar certifications and often work within the same financial institutions, but their core responsibilities differ based on the type of risk managed.
What do market risk managers do?
What is market risk management?
Is market risk management a good career?

Full-time
Medical, Dental, Life, Retirement, PTO
Posted 8 days ago
Enbridge rating
8.4
Based on 47 frontline employees who took The Breakroom Quiz
20th of 53 rated energy and utility
Job description
Posting End Date:
July 24, 2026Employee Type:
Regular-Full timeUnion/Non:
This is a non-union positionAt Enbridge, we are committed to delivering safe, reliable energy while advancing operational excellence, innovation, and business value through technology. We are seeking a Specialist Commodity Market Risk to lead, support, and perform daily market risk reporting and analytics across North American commodity trading activities, including Crude Oil & NGLs, Natural Gas, and Power. In this role, you will provide timely and accurate risk reporting, analyze daily changes in Mark-to-Market (MTM), Value-at-Risk (VaR), and open positions, while ensuring compliance with risk policies and controls.
Apply today for this exciting opportunity to make an impact at Enbridge!
What You Will Do:
Lead daily market risk analysis, monitoring, and reporting activities, including MTM, VaR, open positions, valuation controls, and management commentary for North American commodity trading portfolios.
Partner with Enterprise Risk, Trading, Scheduling, Accounting, MRM (IT), Credit, Legal, and Trade Compliance teams to support effective risk management across the transaction lifecycle.
Drive the development and delivery of Power BI risk reporting solutions, enhancing data visualization, automation, and reporting efficiency through enterprise data sources and SQL-based analytics.
Maintain and troubleshoot risk models, VaR calculations, P&L decomposition processes, and ETRM risk reporting workflows to ensure accurate market risk measurement.
Serve as a subject matter expert for Openlink/Endur risk systems, supporting deal modeling, valuation processes, issue resolution, testing, and operational improvements.
Evaluate new business strategies, identify emerging market risks, monitor policy compliance, and provide clear communication of quantitative risk concepts to business stakeholders.
Lead operational improvement initiatives, support monthly Risk-to-Accounting reconciliations, maintain SOX compliance documentation, and provide informal leadership and mentorship across the team.
Accountable for annual Policy training with stakeholders & provide ad-hoc assistance throughout each business year with front office & other support functions on various topics.
Who You Are:
University degree in Finance, Economics, Applied Sciences, or a related discipline, with 7+ years of market risk management experience in power, natural gas, crude oil, or NGL markets.
Strong expertise in commodity market risk controls, including MTM valuation, VaR, position monitoring, risk limits, stress testing, and portfolio risk analysis.
Proven experience with Openlink/Endur or comparable Energy Trading and Risk Management (ETRM) systems, including transaction lifecycle troubleshooting and risk reporting.
Advanced analytical and quantitative skills, demonstrating proficiency in interpreting complex financial models and conveying findings clearly to both technical and non-technical audiences.
Experience developing data visualizations, dashboards, and reporting solutions using Power BI, SQL, and other business intelligence tools.
Strong collaboration and stakeholder management abilities, with demonstrated success working across front-office, risk, finance, compliance, and technology teams.
Strong written and verbal communication skills, with the ability to translate intricate financial frameworks, risk concepts, and analytical findings into actionable insights for operational and business collaborators.
Demonstrated ability to thrive in a fast-paced, collaborative environment while developing risk metrics and controls, analyzing large market data sets, and creating impactful visualizations that support decision-making and new business initiatives.
Professional designation such as CFA, FRM, ERP, MBA, or equivalent is considered an asset; experience with Python, options markets, SharePoint workflows, and ETRM testing is also preferred.
Working Conditions:
Typical office environment, open trading floor concept setup.
Benefits:
A flexible benefits program that allows each employee to select the level of coverage needed for their family in the areas of health, dental, insurance and disability.
A paid maternity and parental leave benefit that offers up to 20 weeks of paid leave for birth-giving parents and up to 12 weeks for other eligible parents, providing flexibility and support during this important life event.
Valuable retirement savings plans, including a savings plan with company stock as an investment option.
Paid time off/vacation/sick, plus paid personal days off (depending on location), and paid holidays.
An Employee and Family Assistance Program.
A Wellness Program, which focuses on supporting healthier employees by providing tools, resources, and opportunities to improve physical, mental, social, and financial well-being.
Enbridge's FlexWork (hybrid work model) offers eligible employees (Manager and below) the option to work from home on Mondays and Fridays, opt for a compressed work week schedule, or have flexible start and end times. Role requirements determine your eligibility for each option.
At Enbridge, we are dedicated to our core value of Inclusion.We are proud to bean Equal Opportunity Employer. We are committed to providing employment opportunities to all qualified individuals, without regard to age, race, color, national or ethnic origin, religion, sex, sexual orientation, gender identity or expression, marital status, family status, veteran status, Indigenous status, disability, or any other reason protected by federal, state, or local law.Applicants with disabilities can request accessible formats, communication supports, or other accessibility assistance by contacting careers@enbridge.com.
Information For Applicants:
Applications can be submitted via our online recruiting system only.
We appreciate your interest in working with us; however, only those applicants selected for interviews will be contacted.
Final candidates for this position may be required to undergo a security screening, including a criminal records check.
To learn more about us, visit www.enbridge.com
About ENBRIDGE
Sourced by ZipRecruiter
Industry
Natural gas and oil pipeline transportation
Company size
1,001 - 5,000 Employees
Headquarters location
Calgary, AB, CA