This is a non-union position We are looking for a Manager Quantitative Commodity Market Risk who will be accountable for the daily risk reporting function to deliver timely, accurate, and ...
This is a non-union position We are looking for a Manager Quantitative Commodity Market Risk who will be accountable for the daily risk reporting function to deliver timely, accurate, and ...
Manager, Private Market Risk
Calgary, AB · On-site
July 23, 2026 Opportunity AIMCo is seeking a Manager, Private Market Risk to join the Investment Risk Management (IRM) team within the Risk Management division. IRM supports investment decision ...
Manager, Private Market Risk
Calgary, AB · On-site
July 23, 2026 Opportunity AIMCo is seeking a Manager, Private Market Risk to join the Investment Risk Management (IRM) team within the Risk Management division. IRM supports investment decision ...
July 23, 2026 Opportunity AIMCo is seeking a Manager, Private Market Risk to join the Investment Risk Management (IRM) team within the Risk Management division. IRM supports investment decision ...
July 23, 2026 Opportunity AIMCo is seeking a Manager, Private Market Risk to join the Investment Risk Management (IRM) team within the Risk Management division. IRM supports investment decision ...
Corporate Risk Manager
Edmonton, AB · On-site
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 ...
Corporate Risk Manager
Edmonton, AB · On-site
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 ...
Corporate Risk Manager
Edmonton, AB · On-site
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 ...
Corporate Risk Manager
Edmonton, AB · On-site
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 ...
Sr Risk Analyst
Calgary, AB · On-site
We're looking for a Sr Risk Analyst professional to develop and deploy advanced risk and market ... Direct improvements to our commodity trading and risk management system (CTRM) * Lead business ...
Sr Risk Analyst
Calgary, AB · On-site
We're looking for a Sr Risk Analyst professional to develop and deploy advanced risk and market ... Direct improvements to our commodity trading and risk management system (CTRM) * Lead business ...
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... market today.
Quick apply
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... market today.
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... market today.
Quick apply
Lead Risk Manager, Payment Fraud
Calgary, AB · Hybrid
$150K - $180K/yr
Lead Risk Manager, Payment Fraud Toronto Onsite | Full-Time | Hybrid after onboarding | Reports to ... market today.
Trading Risk and Operations Manager Reports to: Trading and Contract Management Director Location ... Knowledge of Market-Wide Half-Hourly Settlement (MHHS) * Strong verbal and written communication ...
Trading Risk and Operations Manager Reports to: Trading and Contract Management Director Location ... Knowledge of Market-Wide Half-Hourly Settlement (MHHS) * Strong verbal and written communication ...
... risk management experience, as well as the flexibility and a desire to contribute to wider team ... Work with Market Risk team to provide oversight and governance of valuation models, assumptions ...
... risk management experience, as well as the flexibility and a desire to contribute to wider team ... Work with Market Risk team to provide oversight and governance of valuation models, assumptions ...
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 ...
... manage a team & have increased influence. About the day-to-day: * Directly accountable for the ... In line with market and emerging issues, contributes to review and refinement of 1st line ...
New
... manage a team & have increased influence. About the day-to-day: * Directly accountable for the ... In line with market and emerging issues, contributes to review and refinement of 1st line ...
New
It also supports the shift to analytics-driven risk management by delivering high-value insights ... Assess vendor/supply chain risks (labour, currency, market volatility) across program/portfolio
It also supports the shift to analytics-driven risk management by delivering high-value insights ... Assess vendor/supply chain risks (labour, currency, market volatility) across program/portfolio
Catastrophe Risk Specialist
Edmonton, 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
Edmonton, 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 ...
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 ...
Deals Desk Analyst, Oil
Calgary, AB · On-site
Minimum of 1 year exposure to market risk management in Energy * Minimum of1 years of experience in physical & derivatives Energy markets inclusive of its underlying structures and instruments ...
Deals Desk Analyst, Oil
Calgary, AB · On-site
Minimum of 1 year exposure to market risk management in Energy * Minimum of1 years of experience in physical & derivatives Energy markets inclusive of its underlying structures and instruments ...
Senior Portfolio Manager, Regulated Power
Calgary, AB · On-site +1
Identify and manage financial and market risks inherent to Alberta's retail electricity market. * Design and execute EPSP- and corporate-compliant hedging and risk mitigation strategies. * Procure ...
Senior Portfolio Manager, Regulated Power
Calgary, AB · On-site +1
Identify and manage financial and market risks inherent to Alberta's retail electricity market. * Design and execute EPSP- and corporate-compliant hedging and risk mitigation strategies. * Procure ...
Senior Portfolio Manager, Regulated Power
Calgary, AB · On-site +1
Identify and manage financial and market risks inherent to Alberta's retail electricity market. * Design and execute EPSP- and corporate-compliant hedging and risk mitigation strategies. * Procure ...
Senior Portfolio Manager, Regulated Power
Calgary, AB · On-site +1
Identify and manage financial and market risks inherent to Alberta's retail electricity market. * Design and execute EPSP- and corporate-compliant hedging and risk mitigation strategies. * Procure ...
Market Risk Manager information
See Alberta salary details
$28.5K - $47.5K
5% of jobs
$47.5K - $66.5K
6% of jobs
$66.5K - $85.5K
12% of jobs
$88.5K is the 25th percentile. Wages below this are outliers.
$85.5K - $104.5K
12% of jobs
The median wage is $122.9K / yr.
$104.5K - $123.5K
16% of jobs
$123.5K - $142.5K
21% of jobs
$146.6K is the 75th percentile. Wages above this are outliers.
$142.5K - $161.5K
16% of jobs
$161.5K - $180.5K
11% of jobs
$180.5K - $199.5K
2% of jobs
$199.5K - $218.5K
0% of jobs
$218.5K - $237.5K
0% of jobs
$28.5K
$124.2K
$237.5K
How much do market risk manager jobs pay per year?
What does a Market Risk Manager do?
What are the key skills and qualifications needed to thrive as a Market Risk Manager, and why are they important?
How does a Market Risk Manager typically collaborate with other departments within a financial institution?
What is the difference between Market Risk Manager vs Credit Risk Analyst?
| Aspect | Market Risk Manager | Credit Risk Analyst |
|---|---|---|
| Required Credentials | Bachelor's degree, often CFA or FRM | Bachelor's degree, often CFA or FRM |
| Work Environment | Financial institutions, trading floors, risk departments | Banks, lending institutions, credit departments |
| Employer & Industry Usage | Used in investment banks, asset managers, hedge funds | Used in commercial banks, credit agencies, lending firms |
| Common Search & Comparison | Often compared for risk management roles in finance | Compared for credit analysis roles |
The Market Risk Manager focuses on identifying and managing risks related to market fluctuations, such as interest rates and stock prices. In contrast, the Credit Risk Analyst assesses the creditworthiness of borrowers to mitigate default risk. Both roles require similar credentials and are vital in financial institutions, but they specialize in different risk areas.

Full-time
Medical, Dental, Life, Retirement, PTO
Re-posted 15 days ago
Enbridge rating
8.4
Based on 47 frontline employees who took The Breakroom Quiz
19th of 52 rated energy and utility
Job description
Posting End Date:
July 20, 2026Employee Type:
Regular-Full timeUnion/Non:
This is a non-union positionWe are looking for a Manager Quantitative Commodity Market Risk who will be accountable for the daily risk reporting function to deliver timely, accurate, and decisionuseful insights, including analysis of dayoverday changes in MarktoMarket (MTM), ValueatRisk (VaR), atrisk metrics, and open positions in North American commodity markets (power, natural gas, crude oil, and natural gas liquids).
We offer opportunities for growth, increasing your knowledge and skills, and an exciting career filled with competitive benefits and pension package including generous time off.
We'd love to hear from you! Apply today for this extraordinary opportunity with Enbridge!
What You Will Do:Leadership over VaR model accuracy, P&L decomposition, and endtoend FEA VaR integrity, ensuring robust data connectivity, validation, explainability, effective vendor management, and scalable expansion across portfolios, commodities, and business lines, with clear enterprisewide risk communication.
Lead market risk assessments for new business initiatives, ensuring risks are fully captured and documented to support senior management approval processes.
Direct accountability for the risk team's analysis, monitoring, & reporting function for multiple North American commodity trading activities including VaR, open positions, valuation controls, MTM valuation, including daily management explanations on applicable metrics and limits
Lead endtoend project delivery for new risk reporting tools, advancing process automation (including Python coded processes development) and highvalue data visualizations (Power BI).
Expand risk team capabilities such as risk reporting development, stress testing &/or other complex scenario analysis (including VaR simulations) to support risk metrics and ad hoc requests.
Drive continuous improvement of valuation controls and price curve validation and technical maintenance, embedding bestpractice processes that support reliable enterprise reporting; become an expert in the Pricing Datawarehouse and ZEMA pricing connections and functionality.
Cultivate strong crossfunctional partnerships across Enterprise Risk, Trading, Scheduling, Accounting, MRM (IT), Credit, Legal, and Trade Compliance to drive collaboration and ensure fronttoback success across the commodity transaction lifecycle.
Provide on-going risk policy approval recommendations with clear governance over commodity desk authorities, market risk limits, approved strategies, transaction types, and geographic market coverage.
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 events relative to applicable prescribed commercial Policy limits
Support and maintain SOX requirements & documentation, and keep up to date on industry & training requirements applicable to role.
Bachelors degree in economics, finance, or applied sciences with 8+ years of in-depth experience in power, natural gas, &/or crude oil markets in risk management
Advanced coding experience in Python, SQL, & Business Intelligence apps (Power BI is preferred).
Experienced in performing risk control processes, including the development, monitoring, & enforcing of market risk limits, daily risk reporting of commodity MTM, VaR and positions.
Quantitative background with a strong understanding of probabilities & statistics with the ability to perform scenario stress testing & analysis, back testing of strategies & trading portfolio decomposition of risk.
Strong understanding of modern VaR & GMaR methodologies
Excellent written & oral communication skills; ability to explain financial models in operational terms.
Thrives in a dynamic, collaborative working team environment involving daily tasks, project work & new product development.
Strong understanding of multiple option valuation methodologies & risk management approaches.
Experience in the design of risk metrics & controls to manage cash monthly price risks.
Experience reviewing large pricing data history, creating, & identifying value added visualizations/insights for decision makers.
Ability to create new market risk tools & processes by defining a project's vision & executing it from inception to completion.
Technical experience risk managing, troubleshooting and modeling transactions in Openlink/Endur or similar Energy Trading & Risk Management (ETRM) systems across the transaction life cycle.
CFA, MBA, CA, or other related designation is an asset. Risk Management designations in ERP or FRM are also an asset.
Strong understanding of how to analyze power LMP/congestion settlement & external forward pricing sources, make price curve recommendations or valuation enhancements.
Experienced in the following aspects of power markets: commonly used trading strategies, FTRs, hourly pricing scalars, capacity, RECs, fixed block utility auctions & full requirements transactions.
Experience in PJM, MISO, NYISO, ISO-NE, ERCOT, SPP, IESO &/or AESO power markets; ISO specific market regulations & requirements for physical or financial transactions.
Strong understanding of cash month wholesale power markets & associated financial products (ex., FTRs, Virtuals, increment / decrements), ancillary service products & physical power trading strategies.
Experience in risk management of spark spread / heat rate products & trading strategies.
Experience in Options and Calendar Spread Options (CSOs).
Typical office environment, open trading floor concept setup
Physical Requirements:
Include but are not limited to: Grasping, kneeling, light - moderate lifting (objects up to 20 pounds), reaching above shoulder, repetitive motion, sitting, standing, visual requirement (able to see screens, detect color coding, read fine print), hearing requirement.
Mental Requirements:
Include but are not limited to: Ability to: understand, remember and apply oral and/or written instructions or other information, understand complex problems and collaborate/explore alternative solutions, organize thoughts and ideas into understandable terminology, organize and prioritize work schedule on a short-term basis, make decisions which have moderate impact on the immediate work unit and monitor impact outside this area, understand and follow basic instructions and guidelines, complete routine forms, compose letters, outlines, memoranda and basic reports and communicate with individuals via telephone.
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