... management and documentation) and evaluate alignment with governance expectations and regulatory requirements (including OSFI Guideline E‑23) Perform quantitative audit procedures such as ...
... management and documentation) and evaluate alignment with governance expectations and regulatory requirements (including OSFI Guideline E‑23) Perform quantitative audit procedures such as ...
Chief Advisor Quantitative Risk Specialist
Laval, QC · On-site +1
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Chief Advisor Quantitative Risk Specialist
Laval, QC · On-site +1
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
Influence and negotiate with senior management on the severity, root cause and remediation of ... risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
The Model Risk Management (MRM) team embedded within the Risk Management function in SG CIB ... As a Quantitative Advisor, the job of model validation involves independently assessing and ...
The Model Risk Management (MRM) team embedded within the Risk Management function in SG CIB ... As a Quantitative Advisor, the job of model validation involves independently assessing and ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
A career as a Model Risk Governance Specialist - Risk Assessment in the Model Risk Management team at National Bank means acting as a quantitative governance specialist responsible for evolving ...
Experience with Safran Risk Manager, or Active Risk Manager is an asset but not mandatory. Experience with Quantitative Risk Analysis (QRA) tools (e.g. Safran Risk, @Risk, etc.) is an asset but not ...
Experience with Safran Risk Manager, or Active Risk Manager is an asset but not mandatory. Experience with Quantitative Risk Analysis (QRA) tools (e.g. Safran Risk, @Risk, etc.) is an asset but not ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
Reporting directly to the local Head, the individual will concentrate on Model Risk Management (MRM ... Master's degree in Quantitative Finance, Mathematics, Statistics, Computer Science, or a related ...
Reporting directly to the local Head, the individual will concentrate on Model Risk Management (MRM ... Master's degree in Quantitative Finance, Mathematics, Statistics, Computer Science, or a related ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
OR a Master's degree in a quantitative, finance, legal, technology or risk-related field and 5 years of relevant experience. * Experience in model risk management, risk governance, regulatory policy ...
Senior Advisor, Safety Risk Management
Montreal, QC · On-site
CA$100K - CA$120K/yr
POSITION The Senior Advisor, Safety Risk Management, is responsible for leading the development ... Direct the application of qualitative and quantitative risk assessment methodologies to evaluate ...
Senior Advisor, Safety Risk Management
Montreal, QC · On-site
CA$100K - CA$120K/yr
POSITION The Senior Advisor, Safety Risk Management, is responsible for leading the development ... Direct the application of qualitative and quantitative risk assessment methodologies to evaluate ...
Junior Quantitative Advisor
Montreal, QC · On-site
Reporting directly to the local Head, the individual will concentrate on Model Risk Management (MRM ... Master's degree in Quantitative Finance, Mathematics, Statistics, Computer Science, or a related ...
Junior Quantitative Advisor
Montreal, QC · On-site
Reporting directly to the local Head, the individual will concentrate on Model Risk Management (MRM ... Master's degree in Quantitative Finance, Mathematics, Statistics, Computer Science, or a related ...
Quantitative Risk Manager information
See Montreal, QC salary details
$31.9K - $48.9K
4% of jobs
$48.9K - $65.8K
5% of jobs
$65.8K - $82.8K
7% of jobs
$96.9K is the 25th percentile. Wages below this are outliers.
$82.8K - $99.7K
10% of jobs
$99.7K - $116.7K
15% of jobs
The median wage is $125.7K / yr.
$116.7K - $133.6K
16% of jobs
$133.6K - $150.6K
15% of jobs
$155.3K is the 75th percentile. Wages above this are outliers.
$150.6K - $167.5K
10% of jobs
$167.5K - $184.5K
6% of jobs
$184.5K - $201.4K
4% of jobs
$201.4K - $218.4K
7% of jobs
$31.9K
$131.5K
$218.4K
How much do quantitative risk manager jobs pay per year?
How does a quantitative risk manager typically collaborate with other departments within a financial institution?
What are the key skills and qualifications needed to thrive as a quantitative risk manager, and why are they important?
What is a quantitative risk manager?
What is the difference between Quantitative Risk Manager vs Quantitative Analyst?
| Aspect | Quantitative Risk Manager | Quantitative Analyst |
|---|---|---|
| Primary Focus | Assessing and managing risk exposure across financial portfolios | Developing models and algorithms for investment strategies |
| Required Credentials | Advanced degrees in finance, mathematics, or related fields; certifications like FRM or CFA | Degrees in finance, mathematics, or statistics; often pursuing CFA or similar |
| Work Environment | Financial institutions, risk management departments | Investment firms, hedge funds, banks |
| Key Skills | Risk assessment, regulatory knowledge, quantitative modeling | Data analysis, programming, financial modeling |
While both roles involve quantitative skills and financial knowledge, Quantitative Risk Managers focus on identifying and mitigating risks within organizations, whereas Quantitative Analysts primarily develop models to inform investment decisions. Understanding these differences helps professionals choose the right career path or job search focus.

Full-time
Medical, Retirement
Re-posted 6 days ago