Job Description

A leading financial services provider in downtown Toronto is seeking a Market Risk Analyst to enhance pricing models and validate risk calculations for a top bank. Ideal candidates will have 2-3+ years in Capital Markets, with hands-on experience in Value at Risk (VaR) and knowledge of stress testing. Strong SQL and Python skills are essential. The role emphasizes collaboration with various stakeholders to ensure sound risk reporting and adherence to regulatory standards. An inclusive workplace committed to diversity.
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