Senior Manager - Technology Risk - Soc Reporting
By EY At Toronto, Ontario, Canada
Internal Controls Attestations – Focus on reviewing management's assertions over their business processes and IT governance, risk and controls.
Maintain relationships with client management to manage expectations of service, including work products, timing, and the value to be delivered.
Play an active role in resource management, team development and training related activities.
Bachelor's Degree (or higher) in Commerce, Computer Science, Management Information Systems, or another relevant program
Extensive SOC reporting experience, as well as experience with IT Audit methodologies (internal and external audits)
A strong understanding of the requirements set under CPA Canada, AICPA and ISAE, as it pertains to SOC reporting
Quantitative/Model Risk Analyst
By Procom At Toronto, Ontario, Canada
Prior education or working experience in Basel implementation, stress testing, compliance assessment or gap analysis, regulatory submission, and risk management
Preparing and presenting audit findings and recommendations to management
Post graduate degree - PHD OR master's in mathematics, Engineering, Finance, Comp Science, Data Science)
5+ years Previous Experience in Any Financial Models used in banking - e.g., AML (Anti Money Laundering), Capital Markets, Fraud
Good communication and negotiation skills
Excellent writing and documentation skills
Financial And Model Risk Manager
By Community Trust At Mississauga, Ontario, Canada
University degree in finance, risk management, economics, or a related field; or another advanced degree or designation
Extensive experience in financial risk management, internal controls, and model risk management
Experience building, enhancing policies and programs associated with Financial Risk Management
Strong knowledge on databases and systems for model inventory management
Develop and execute comprehensive strategies for model risk management, including validation, monitoring, and ongoing assessments of model performance
Professional certifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) preferred
Manager, Market Risk (Model Review & Business Analytics)
By BMO At Toronto, Ontario, Canada
Broad understanding and experience with risk management methodologies, preferably in Market Risk
Manage the relationships with clients across the organization as well as with the vendor;
Minimum of 5 years of business analytics experience within Capital Markets
Must have hands on experience in manual testing (test case design to ensure coverage and execution)
Strong analytic and troubleshooting skills with a solution oriented attitude
Proven experience working on multiple large projects simultaneously
Officer, Consolidated And Specialized Reporting
By RBC Wealth Management At Toronto, Ontario, Canada
Advanced knowledge of estate and trust services
Knowledge of estate accounting practices
Previous financial services experience preferable
Degree in finance, accounting, business, or related field
General knowledge of custody solutions, investments, financial planning, counselling and taxation issues
A comprehensive Total Rewards Program including bonuses and flexible benefits, competitive compensation, commissions, and stock where applicable
Technology Risk Reporting, Senior Manager
By Manulife At Toronto, Ontario, Canada
Management experience leading teams – includes people and performance management
Excellent verbal, interpersonal and written communication skills and the ability to present to any level of management
Oversee the production and distribution of weekly, monthly and ad hoc senior management reports and presentations
Establish best practices, process documents and support materials for data management tools
Proactively communicate reporting modifications and process changes to contributors based on senior management requests and personal observations.
Ensure key trends, issues and watch items are brought forward from the metrics into management summaries clearly.
Senior Manager, Market Risk Measurement And Model Development
By Scotiabank At Toronto, Ontario, Canada
Solid quantitative background and problem-solving skills with a keen interest in Finance, Economics, Derivatives, Risk management and Regulations.
Python programing is essential. Experience in other Object-Oriented programing is a bonus.
Internal development to support your growth and enhance your skills.
A competitive compensation and benefits package.
Communicate with model users, trading desks, risk teams, and business lines to enhance models and ensure correct use of models.
Assist team members for various ad-hoc analyses, model development, documentation, reporting, preparation of materials.
Risk Officer Jobs
By Societe Generale At Montreal, Quebec, Canada
Working closely with the Credit Analysis Group (CAG) and the Asset Restructuring & Recovery Management (ARM) teams to:
Knowledge of relational databases and experience with SQL queries
Programming skills (under Python with restitution using PowerBi technologies)
Good communication and presentation skills
Solid English verbal and written communication skills
Develop a good understanding on credit risk metrics
Business Analyst - Risk Reporting
By Nasdaq At Toronto, Ontario, Canada
Education Required: Degree qualified in Computer Science, Business/Finance or related discipline, or equivalent work experience.
Special Qualifications: Working towards a professional certification (i.e AWS, Scrum, Series etc).
From a business and system requirement perspective, supports the documentation of report and data requirements, design considerations and testing.
Elicits detailed business and system requirements from business owners and stakeholders.
Ensures that operational teams and subcontractors have a clear understanding of client requirements.
Builds and maintains strong client relationships and provides client advice.
Data Scientist, Ai Model Risk
By RBC At Toronto, Ontario, Canada
Business Functions: Internal Audit, Cybersecurity, Fraud Management, Anti-Money Laundering, Insurance, Credit Risk, Technology Operations, Identity & Access Management, Human Resources
Master’s or PhD degree in Statistics, Computer Science, Applied Mathematics, Econometrics, Engineering, Quantitative Finance, or a related quantitative field
Strong communication and interpersonal skills
Publication or prior research experience (applied or fundamental)
Experience with version control systems
A comprehensive Total Rewards Program including bonuses and flexible benefits and competitive compensation

Are you looking for an exciting opportunity to join a leading financial institution and help shape the future of risk reporting? We are looking for a Model Risk Reporting Officer to join our team and help us develop and implement effective risk reporting processes. You will be responsible for developing and maintaining model risk reporting standards, monitoring model risk performance, and providing timely and accurate reporting to senior management. If you have a passion for risk management and a strong understanding of financial models, this could be the perfect role for you!

Overview:

Model Risk Reporting Officers are responsible for ensuring that the models used by their organization are accurate and reliable. They must have a deep understanding of the models used, as well as the ability to identify potential risks and develop strategies to mitigate them. They must also be able to communicate effectively with stakeholders and ensure that the models are compliant with relevant regulations.

How To Become an Model Risk Reporting Officer:

To become a Model Risk Reporting Officer, you will need to have a bachelor’s degree in a related field such as finance, economics, mathematics, or statistics. You should also have experience in risk management, financial modeling, and data analysis. Additionally, you should have strong communication and problem-solving skills.

Model Risk Reporting Officer Skills:

• Risk management
• Financial modeling
• Data analysis
• Regulatory compliance
• Communication
• Problem-solving
• Interpersonal skills
• Technical writing
• Project management

What is Model Risk Reporting Officer Knowledge?

• Understanding of financial models
• Knowledge of risk management principles
• Understanding of regulatory requirements
• Knowledge of data analysis techniques
• Understanding of financial markets
• Knowledge of project management principles

What is Model Risk Reporting Officer Responsibilities?

• Developing and implementing risk management strategies
• Monitoring and evaluating financial models
• Ensuring compliance with regulatory requirements
• Analyzing data to identify potential risks
• Developing strategies to mitigate risks
• Communicating with stakeholders
• Writing technical reports

What is Model Risk Reporting Officer Experience?

• Previous experience in risk management
• Experience in financial modeling
• Experience in data analysis
• Experience in regulatory compliance
• Experience in project management

What is Model Risk Reporting Officer Qualifications?

• Bachelor’s degree in a related field
• Professional certification in risk management
• Professional certification in financial modeling
• Professional certification in data analysis

Model Risk Reporting Officer Education:

• Bachelor’s degree in finance, economics, mathematics, or statistics
• Professional certification in risk management, financial modeling, or data analysis
What tools help Model Risk Reporting Officer work better?
• Risk management software
• Financial modeling software
• Data analysis software
• Regulatory compliance software
• Project management software
Good tips to help Model Risk Reporting Officer do more effectively?
• Stay up to date on industry trends and regulations
• Develop strong communication and problem-solving skills
• Utilize risk management software to identify potential risks
• Analyze data to identify potential risks and develop strategies to mitigate them
• Develop strong interpersonal skills to effectively communicate with stakeholders
• Write technical reports to document findings and recommendations
Common Model Risk Reporting Officer interview questions?
• What experience do you have in risk management?
• How familiar are you with financial models?
• What experience do you have in data analysis?
• How familiar are you with regulatory requirements?
• What strategies do you use to identify potential risks?
• How do you communicate with stakeholders?
• What experience do you have in project management?