Market Risk Manager Specializing in Stress Testing Strategies

BMO Financial Group
Toronto, CA; US
On-site

Job Description

Elevate your career as a Market Risk Manager, focusing on stress testing and risk analysis. This dynamic role emphasizes collaboration, analytical skills, and market knowledge while maintaining work-life balance.

In this pivotal position, you will support stress testing efforts by designing scenarios and analyzing results. You’ll collaborate with senior executives and play an integral role in Market Risk oversight teams. Ideal candidates bring 5-7 years of relevant experience and deep analytical capabilities to influence strategic decisions and problem-solving.

Key Responsibilities:

  • Advise on strategic plans affecting the sector
  • Implement solutions based on thorough problem analysis
  • Analyze regulatory changes and assess governance impact
  • Lead development of scenario analysis methodologies
  • Manage and integrate databases for data governance

Requirements:

  • 5-7 years of relevant experience in market risk
  • Proficiency in crisis simulation frameworks
  • Strong quantitative modeling and analytical skills
  • Excellent communication and collaborative abilities
  • Knowledge of regulatory requirements and best practices

Shape stress testing frameworks by applying market risk expertise and collaborating with stakeholders to enhance decision-making and governance.

#J-18808-Ljbffr

Skills & Requirements

Technical Skills

Market Riskstress testingrisk analysisstrategic plansproblem analysisregulatory changesgovernance impactscenario analysis methodologiesdatabase managementdata governancecollaborationproblem-solvinganalytical thinkingcommunicationfinancial risk managementregulatory compliancemarket analysis

Employment Type

FULL TIME

Level

senior

Posted

3/27/2026

Apply Now

You will be redirected to BMO Financial Group's application portal.