drjobs Manager, Funds Risk Management

Manager, Funds Risk Management

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Job Location drjobs

Toronto - Canada

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Requisition ID: 228134

Join a purpose driven winning team committed to results in an inclusive and high-performing culture.

Funds Risk Management is responsible for risk management and analysis of Hedge Funds Pensions Funds Private Equity and other Investment Funds. As a Manager you will be a key member of the Funds Risk Management team who is responsible for credit risk adjudication and ongoing monitoring of the financial health of the Hedge Funds portfolio. The team participates in customer due diligence meetings as well as monitoring and reporting for the assigned portfolio of accounts. The team works closely with three major Global Banking and Markets (GBM) business lines - Prime Services Collateral Management and Funding and Credit Total Return Swaps to provide products and services to their hedge fund customers. The team acts as a strategic partner and trusted advisor to the GBM business lines with respect to risk related matters concerning Hedge Funds globally. You are expected to have a good understanding of the credit market and counterparty credit risk management frameworks related policies of the Bank and industry best practices with regards to counterparty credit risk management.

Is this role right for you In this role you will:

  • Approve maintain and manage credit exposure to Hedge Funds clients across derivatives and secured financing transactions.
  • Conduct proactive risk management of the Banks Hedge Funds Portfolio for assigned accounts by assessing clients portfolio risk liquidity of client positions credit limits and risk appetite ratios.
  • Partner with our banking business line and market risk colleagues to ensure that both credit and market risks are effectively evaluated and mitigated.
  • Participate in Hedge Fund client due diligence calls/meetings and maintain the relationship to ensure appropriate ongoing monitoring of the portfolio.
  • Conduct Credit and Market risk analysis of business requests ensuring material issues are identified through concise commentary and provide appropriate recommendations. This includes:
    • (i) comprehensive credit evaluation of counterparties to assess and mitigate investment business and/or operational risk
    • (ii) evaluate appropriateness of risk/return metrics of deal proposals and
    • (iii) appropriateness of terms and conditions exposures margining termination events and other covenants for a wide range of facilities including prime brokerage repo/rev repos foreign exchange interest rate derivatives and credit total return swaps.
  • Assist and participate in the presentation of credits to Senior Management and the Senior Credit Committee
  • Conduct ongoing monitoring of the credit quality of the portfolio and compile monthly early warnings reports for higher risk clients.
  • Monitoring of deal terms and conditions carried out by other groups within the Bank and ensure limit overruns are regularized in a timely manner.
  • Prepare portfolio reporting documentation of processes and contribute to development and enhancement of processes and reporting requirements.
  • Work with technology team to develop and enhance data analytics for senior management on the overall hedge fund portfolio as well as individual counterparties.
  • Assist with preparation of the annual Hedge Funds Industry Report and with assigned projects as required.
  • Continuously develop and maintain a high degree of industry knowledge/expertise.
  • Contribute to the departments goals and objectives through active participation in projects and initiatives.

Do you have the skills that will enable you to succeed in this role - Wed love to work with you if you have:

  • 3 years institutional credit experience in a large financial institution.
  • Experience in the analysis and risk management of Hedge Funds and/or other investment vehicles
  • Solid understanding of Secured Financing Transactions and derivatives.
  • Market Risk experience is highly preferred.
  • Excellent interpersonal and communication skills both written and oral.
  • Strong time management planning and organizing skills to manage multiple priorities.
  • Ability to work in a fast paced environment.
  • MBA / CFA Charter qualifications are preferred but not a prerequisites.
  • Previous Credit Risk or Banking experience required.

Whats in it for you

  • An inclusive & collaborative working environment that encourages creativity curiosity and celebrates success!
  • We offer a competitive rewards package: Performance bonus Employee Share Ownership Program and Pension Plan Matching Health Benefits from day one!
  • Your career matters! You will have access to career development and progression opportunities.

Location(s): Canada : Ontario : Toronto

Scotiabank is a leading bank in the Americas. Guided by our purpose: for every future we help our customers their families and their communities achieve success through a broad range of advice products and services including personal and commercial banking wealth management and private banking corporate and investment banking and capital markets.

At Scotiabank we value the unique skills and experiences each individual brings to the Bank and are committed to creating and maintaining an inclusive and accessible environment for everyone. If you require accommodation (including but not limited to an accessible interview site alternate format documents ASL Interpreter or Assistive Technology) during the recruitment and selection process please let our Recruitment team know. If you require technical assistance please click here. Candidates must apply directly online to be considered for this role. We thank all applicants for their interest in a career at Scotiabank; however only those candidates who are selected for an interview will be contacted.


Required Experience:

Manager

Employment Type

Full Time

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