Requisition ID: 176876
Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture.
Purpose of Job:
Trade Floor Risk Management (TFRM) is a team within Global Risk Management that measures and monitors market risk arising from Scotiabank GBM\'s trading and treasury activities of Global Banking and Markets (GBM), Group Treasury (GT) and International Banking (IB).
TFRM - Funds Risk Management is accountable for market risk adjudication and monitoring of the credit related business and Prime Services businesses, as well as credit risk adjudication of the Bank\'s hedge fund counterparties and other fund counterparties. The group also assist the business development process by providing advice and guidance to make deals more bankable and contributes to the maintenance of acceptable portfolio quality by applying suitable risk measurement and monitoring methodologies.
TFRM -Funds Risk Management- Hedge Fund Analytics is accountable principally for market risk adjudication, monitoring, and development of risk measurement methodologies for the Bank\'s Credit TRS portfolio, CLO warehousing and other credit related business. The team works closely with the Credit Derivatives Sales and Trading desk, and middle/back-office teams that assist this business. The team provides margin sufficiency analysis for Prime Services and CMF portfolios. The team also assist TFRM - Hedge Funds Credit as needed.
Job Responsibilities:
MNCJobz.com will not be responsible for any payment made to a third-party. All Terms of Use are applicable.