A leading Canadian bank in Toronto is seeking a Market Risk Management professional to oversee risks for the GFI Credit and XVA desks. This role involves extensive collaboration with trading groups, engaging in proactive communication, and overseeing regulatory initiatives. Candidates should have a strong background in market risk related to OTC derivative products, excellent analytical skills, and familiarity with data visualization tools like Tableau. Join an inclusive environment that values creativity and collaboration.
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lead
4/4/2026
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