Associate Director - Market Risk Capital Control
On-site · Toronto, Ontario, Canada
Job Summary
Associate Director in Market Risk Capital Controls responsible for coordinating and performing controls related to the boundary between the Trading and Banking Books, including instrumentation of capital calculations and instrument reassignment, preparing market risk capital impact estimates, and providing guidance to ensure governance across multiple business lines. Requires deep knowledge of market risk capital, regulatory requirements, and derivatives, with capabilities in data analysis, stakeholder coordination, and mentorship of team members. Strong quantitative and analytical skills, experience in risk measurement and reporting, and proficiency in Excel and Python are desirable; CFA/FRM credentials are a plus. Based in Toronto, Canada with full-time commitment to RBC’s Group Risk Management function.
Required Qualifications
- 5+ years of experience in a role supporting market and counterparty credit risk measurement and reporting
- Bachelor’s degree in business, finance, financial engineering/mathematic finance
- Strong quantitative and analytical skills
- Proficient in Excel, Python or other programming languages
- Nice-to-have CFA, FRM or other related professional qualifications
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