You will assist the Director, Trading Market Risk and collaborate with other risk managers in delivering timely and accurate risk and product analysis to the senior management team. You will provide ...
You will assist the Director, Trading Market Risk and collaborate with other risk managers in delivering timely and accurate risk and product analysis to the senior management team. You will provide ...
Market Risk Analyst (5411)
Toronto, ON · On-site
CA$69K - CA$98K/yr
Risk Management Pay Details: $69,700 - $98,400 CAD TD is committed to providing fair and equitable ... Department Overview Market Risk (MR) is responsible for managing the ever-changing and dynamic ...
Market Risk Analyst (5411)
Toronto, ON · On-site
CA$69K - CA$98K/yr
Risk Management Pay Details: $69,700 - $98,400 CAD TD is committed to providing fair and equitable ... Department Overview Market Risk (MR) is responsible for managing the ever-changing and dynamic ...
Risk Manager, Market & Counterparty Risk
CA$110K - CA$120K/yr
We are the leading independent wealth management firm in Canada, and the leading mid-market ... We are looking for a Risk Manager to join our Market & Counterparty Risk team, based in Toronto.
Risk Manager, Market & Counterparty Risk
CA$110K - CA$120K/yr
We are the leading independent wealth management firm in Canada, and the leading mid-market ... We are looking for a Risk Manager to join our Market & Counterparty Risk team, based in Toronto.
As part of the Group Risk Management (GRM) team, the Manager, Enterprise Market Risk Reporting & Analysis will ensure that all market risk exposures and any material changes are provided to ...
As part of the Group Risk Management (GRM) team, the Manager, Enterprise Market Risk Reporting & Analysis will ensure that all market risk exposures and any material changes are provided to ...
Risk Management Pay Details: 96,900.00 - 136,800.00 CAD TD is committed to providing fair and ... Reporting to the Head of Market Risk, XVA & Capital Optimization Desk Coverage, the Market Risk ...
Risk Management Pay Details: 96,900.00 - 136,800.00 CAD TD is committed to providing fair and ... Reporting to the Head of Market Risk, XVA & Capital Optimization Desk Coverage, the Market Risk ...
As a Senior Manager you will support ALM Risk's Market Risk mandate by overseeing Corporate Treasury and Capital Markets Treasury, as well as other banking book business activities which expose the ...
As a Senior Manager you will support ALM Risk's Market Risk mandate by overseeing Corporate Treasury and Capital Markets Treasury, as well as other banking book business activities which expose the ...
Senior Market Risk Analyst (5375)
Toronto, ON · On-site
CA$81K - CA$115K/yr
Risk Management Pay Details: $81,600 - $115,200 CAD TD is committed to providing fair and equitable ... Department Overview Market Risk (MR) is responsible for managing the ever-changing and dynamic ...
Senior Market Risk Analyst (5375)
Toronto, ON · On-site
CA$81K - CA$115K/yr
Risk Management Pay Details: $81,600 - $115,200 CAD TD is committed to providing fair and equitable ... Department Overview Market Risk (MR) is responsible for managing the ever-changing and dynamic ...
Financial Instruments Valuation and Market Risk Manager
Toronto, ON · On-site
CA$97K - CA$147K/yr
As aFinancial InstrumentsValuation and Market Risk Manager,unlock your potential and embrace the chance to drive meaningful outcomes that will elevate your career. Your role will include, butisn ...
Financial Instruments Valuation and Market Risk Manager
Toronto, ON · On-site
CA$97K - CA$147K/yr
As aFinancial InstrumentsValuation and Market Risk Manager,unlock your potential and embrace the chance to drive meaningful outcomes that will elevate your career. Your role will include, butisn ...
Associate Director - Local Market Risk
Toronto, ON · On-site +1
The Associate Director - FX Spot, Emerging Markets & Options Risk, Group Risk Management will ... Provide Market-Driven Risk Insights : Investigate FX market risks and deliver insights on ...
Associate Director - Local Market Risk
Toronto, ON · On-site +1
The Associate Director - FX Spot, Emerging Markets & Options Risk, Group Risk Management will ... Provide Market-Driven Risk Insights : Investigate FX market risks and deliver insights on ...
Senior Market Risk Analyst (4591)
Toronto, ON · On-site +1
CA$81K - CA$115K/yr
Risk Management Pay Details: $81,600 - $115,200 CAD TD is committed to providing fair and equitable ... The Senior Market Risk Analyst within the FRTB team supports the Bank's market risk appetite and ...
Senior Market Risk Analyst (4591)
Toronto, ON · On-site +1
CA$81K - CA$115K/yr
Risk Management Pay Details: $81,600 - $115,200 CAD TD is committed to providing fair and equitable ... The Senior Market Risk Analyst within the FRTB team supports the Bank's market risk appetite and ...
Senior Analyst, Asset Liability Management (ALM) & Market Risk (8 Month Contract)
Toronto, ON · On-site
Senior Analyst, Asset Liability Management (ALM) & Market Risk - (8 Month Contract) DUCA is looking for a Senior Analyst, Asset Liability Management (ALM) & Market Risk to join our growing team! Job ...
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Senior Analyst, Asset Liability Management (ALM) & Market Risk (8 Month Contract)
Toronto, ON · On-site
Senior Analyst, Asset Liability Management (ALM) & Market Risk - (8 Month Contract) DUCA is looking for a Senior Analyst, Asset Liability Management (ALM) & Market Risk to join our growing team! Job ...
Senior Analyst, Asset Liability Management (ALM) & Market Risk - (8 Month Contract) DUCA is looking for a Senior Analyst, Asset Liability Management (ALM) & Market Risk to join our growing team! Job ...
Senior Analyst, Asset Liability Management (ALM) & Market Risk - (8 Month Contract) DUCA is looking for a Senior Analyst, Asset Liability Management (ALM) & Market Risk to join our growing team! Job ...
Deep familiarity with financial instruments, market structures, and risk management frameworks. Ability to independently plan and deliver validation work (scope, testing strategy, timelines, and ...
Deep familiarity with financial instruments, market structures, and risk management frameworks. Ability to independently plan and deliver validation work (scope, testing strategy, timelines, and ...
Market Risk Associate Rotational Program
Toronto, ON · On-site
CA$75K/yr
TD recognizes that a strong risk culture and equable approach to risk management is fundamental to our success. About the Program The Market Risk Rotational Program is an immersive 24-month program ...
Market Risk Associate Rotational Program
Toronto, ON · On-site
CA$75K/yr
TD recognizes that a strong risk culture and equable approach to risk management is fundamental to our success. About the Program The Market Risk Rotational Program is an immersive 24-month program ...
Market Risk Governance Strategy Lead, Vice President
Mississauga, ON · On-site
CA$111K - CA$161K/yr
The Non-Trading Market Risk (NTMR) Management group, a part of the Finance CRO organization, is responsible for the independent risk management of non-trading market risk. This includes Foreign ...
Market Risk Governance Strategy Lead, Vice President
Mississauga, ON · On-site
CA$111K - CA$161K/yr
The Non-Trading Market Risk (NTMR) Management group, a part of the Finance CRO organization, is responsible for the independent risk management of non-trading market risk. This includes Foreign ...
Support the management of market risk reporting process and ensure accuracy of key risk metrics. * Analyze key trading strategies and products to ensure they are in line with RBC's risk tolerance and ...
Support the management of market risk reporting process and ensure accuracy of key risk metrics. * Analyze key trading strategies and products to ensure they are in line with RBC's risk tolerance and ...
Support the management of market risk reporting process and ensure accuracy of key risk metrics. * Analyze key trading strategies and products to ensure they are in line with RBC's risk tolerance and ...
Support the management of market risk reporting process and ensure accuracy of key risk metrics. * Analyze key trading strategies and products to ensure they are in line with RBC's risk tolerance and ...
It is also responsible for formulating valuation and market risk management policies and is a key stakeholder in monthly/quarterly/yearly valuation processes. The TFRM Rates team oversees the ...
New
It is also responsible for formulating valuation and market risk management policies and is a key stakeholder in monthly/quarterly/yearly valuation processes. The TFRM Rates team oversees the ...
New
You are expected to have a strong background of credit, market and counterparty credit risk management frameworks, related policies of the Bank, and industry best practices with regards to ...
You are expected to have a strong background of credit, market and counterparty credit risk management frameworks, related policies of the Bank, and industry best practices with regards to ...
Enterprise Market Risk Control (EMRC): Serving as a second line of defense, EMRC provides ... Receive regular career, development and performance conversations with your manager, as well as ...
Enterprise Market Risk Control (EMRC): Serving as a second line of defense, EMRC provides ... Receive regular career, development and performance conversations with your manager, as well as ...
Market Risk Manager information
See Ontario 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?
How does a market risk manager typically collaborate with other departments within a financial institution?
What are the key skills and qualifications needed to thrive as a market risk manager, and why are they important?
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.
Do market risk managers make good money?
What are popular job titles related to Market Risk Manager jobs in Ontario?
For Market Risk Manager jobs in Ontario, the most frequently searched job titles are:
What job categories do people searching Market Risk Manager jobs in Ontario look for?
The top searched job categories for Market Risk Manager jobs in Ontario are:
What cities in Ontario are hiring for Market Risk Manager jobs?
Cities in Ontario with the most Market Risk Manager job openings:

Senior Risk Manager, Trading Market Risk - Global Equities
Toronto, ON • Hybrid
Full-time
Retirement
Re-posted 15 days ago
CIBC rating
9.0
Based on 5 frontline employees who took The Breakroom Quiz
Job description
We're building a relationship-oriented bank for the modern world. We need talented, passionate professionals who are dedicated to doing what's right for our clients.
At CIBC, we embrace your strengths and your ambitions, so you are empowered at work. Our team members have what they need to make a meaningful impact and are truly valued for who they are and what they contribute.
To learn more about CIBC, please visit CIBC.com
What you'll be doing
As a Senior Risk Manager, Trading Market Risk in Capital Markets Risk Management, you will be managing market risk and providing risk oversight with the focus on the Equity Derivative trading desks. Your key responsibilities include understanding the desk trading and hedge strategies, providing the effective risk challenges to the trading desk, daily & periodical position/risk monitoring and PnL/risk/Capital explain on the change and risk drivers. and proactively monitoring the markets to anticipate the potential risk impact.
You will assist the Director, Trading Market Risk and collaborate with other risk managers in delivering timely and accurate risk and product analysis to the senior management team. You will provide leadership in the risk measurement enhancement projects including internal risk measurement and FRTB Capital risk measures for your respective business line. You will work closely with partners in Capital Markets Risk, Capital Markets (Traders), Technology and Finance to ensure sound risk management and measurement, efficient communication and to assist on process enhancements. Furthermore, you will work closely with Quantitative Risk Management to identify the issues with the risk models and continuously enhance existing models. You will also utilize your solid quantitative, database and coding skills to streamline and automate the risk oversight process/reports and perform ad-hoc risk analysis.
At CIBC we enable the work environment most optimal for you to thrive in your role. You'll have the flexibility to manage your work activities within a hybrid work arrangement where you'll spend 2-3 days per week on-site, while other days will be remote.
How you'll succeed
Problem solving and communication - You will ensure effective and timely communication of the desk PnL and risk change explain, closely monitor the desk trading activities and limit utilization, in doing so help limit CIBC's exposure to these risk factors.
Provide effective challenges to Trading Desks: Provide effective challenges to the respective trading desks' business strategies and risk management practices. Proactively identify key market risk factors/indicators and monitor risk metrics for the trading desks.
Relationship building - Develop excellent relationships with various Capital Markets groups - Traders, Sales, Marketers, Quantitative Analysts, Finance, Market Risk Solutions, and Limit Monitoring Group. Maintain clear and concise lines of communication which each stakeholder group as a 2nd line of defense.
Continuous development of domain knowledge - Maintain and utilize your expertise of Capital Markets activities and products, valuation & risk models, and risk sensitivities focusing on Equity derivatives. Continue to grow knowledge of Market Risk management and measurement. Keep up to date with pertinent regulatory requirements (existing and emerging), and maintain the rigorous standards for risk analysis , strategic thinking and process documentation.
Who you are
You can demonstrate experience . 3+ years of experience in market risk, trading, and or related risk field. You process experience and strong knowledge of capital market products especially pertaining to Equity Derivatives or other asset class derivatives a strong asset.
You have a degree/diploma. In Quantitative Finance, Financial Engineering, Financial Mathematics, Statistics, and/or related program.
You're digitally savvy. You seek out innovative solutions and embrace evolving technologies. You have programming and database skills (Python, R, SQL, and Bloomberg API, etc.) and a vision to streamline/automate the oversight process and ad-hoc risk analysis.
You're passionate about people. You find meaning in relationships, and surround yourself with a diverse network of partners. You build trust through respect, authenticity and accountability - to your team and CIBC.
You give meaning to data. You enjoy investigating complex problems, and making sense of information. You're confident in your ability to communicate detailed information in an impactful way.
You understand that success is in the details. You notice things that others don't. Your critical thinking skills help to inform your decision making.
You act like an owner. You thrive when you're empowered to take the lead, go above and beyond, and deliver results - both within our department and across the broader CMRM team.
Values matter to you. You bring your real self to work and you live our values - trust, teamwork and accountability.
#L1-TA
What CIBC Offers
At CIBC, your goals are a priority. We start with your strengths and ambitions as an employee and strive to create opportunities to tap into your potential. We aspire to give you a career, rather than just a paycheck.
We work to recognize you in meaningful, personalized ways including a competitive salary, incentive pay, banking benefits, a benefits program*, defined benefit pension plan*, an employee share purchase plan, a vacation offering, wellbeing support, and MomentMakers, our social, points-based recognition program.
Our spaces and technological toolkit will make it simple to bring together great minds to create innovative solutions that make a difference for our clients.
We cultivate a culture where you can express your ambition through initiatives like Purpose Day; a paid day off dedicated for you to use to invest in your growth and development.
*Subject to plan and program terms and conditions
What you need to know
CIBC is committed to creating an inclusive environment where all team members and clients feel like they belong. We seek applicants with a wide range of abilities and we provide an accessible candidate experience. If you need accommodation, please contact Mailbox.careers-carrieres@cibc.com
CIBC is committed to clarity in our hiring process. All roles posted are opportunities we're actively recruiting for, unless stated otherwise.
You need to be legally eligible to work at the location(s) specified above and, where applicable, must have a valid work or study permit.
We may ask you to complete an attribute-based assessment and other skills test (such as simulation, coding, French proficiency).
We use artificial intelligence tools during the recruitment process. Our goal for the application process is to get to know more about you, all that you have to offer, and give you the opportunity to learn more about us.
Job Location
Toronto-161 Bay St., 5thEmployment Type
RegularWeekly Hours
37.5Skills
Analytical Thinking, Group Problem Solving, Market Risk, Regulatory Requirements, Reporting and Analysis, Researching, Risk Management FrameworkAbout Canadian Imperial Bank of Commerce
Sourced by ZipRecruiter
Industry
Banking and credit intermediation
Company size
10,000+ Employees
Headquarters location
Toronto, ON, CA