Job Description

Our client, a leading Canadian financial institution, is seeking two Risk Analyst IV professionals to join their Market Risk & Counterparty Analytics team in Toronto. This is a 9-month contract opportunity with strong potential for extension or conversion based on performance and business needs.
The successful candidates will support business-as-usual and regulatory project work, with a key focus on Bank of Canada regulatory initiatives, including the Securities Holding Return. Reporting to the Group Manager II, Regulatory Reporting, you will play a critical role in ensuring accurate risk measurement, analysis, and regulatory submissions while partnering closely with senior stakeholders across the organization.
This role follows a hybrid work model (4 days onsite, 1 day remote) and offers exposure to senior management, regulatory reporting, and enterprise-level risk oversight.


Advantages
•Opportunity to work within a highly collaborative Market Risk...

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