Risk Management - Prime Brokerage - Market Risk and Collateral Risk Analytics Intern/Co-op (Fall 2026)

Layer 6 AI
US
Remote

Job Description

Role Type:

Internship/Co-op

Work Term:

Fall/Term 1

Work Location:

Toronto, Ontario, Canada

Hours:

37.5

Pay Details:

$45,700 - $74,400 CAD

TD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience at TD. Our compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs.

As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.

Job Description:

DEPARTMENT OVERVIEW

Co-op and Internship opportunities allow you to gain valuable work experience across a number of the businesses at TD. You will work with experienced colleagues, receive world class training, and be part of a community of students across TD, where you will have an impact, grow as individual and experience our culture of care.

Our Co-op/Intern Programming is offered with select Co-op and Internship roles and is designed to help you better understand the TD business, build on critical career capabilities, and broaden your professional network. This program is designed to complement your on-the job experience and features:

  • Leadership talks with key Leaders from across the organization
  • Lunch and Learns on topics such as Innovation
  • Diversity and Inclusion and Personal Branding and so much more

Prime Brokerage sits within Market Risk and Collateral Risk Analytics which is responsible for the market and credit risk reporting for TD Securities. A global, multi-faceted and cross product team, the primary objective of the Prime Brokerage department is the mitigation of counterparty credit risk through the active monitoring of clients’ collateral and OTC and Security Financing Transactions (SFT) to ensure collateral levels provide adequate coverage of the exposures the clients have with TD Bank. The team manages both the Canadian Prime Brokerage and US Rime Services risk reporting.

The team has a rare opportunity to be exposed to risk management of Hedge Funds and professional investors. Products monitored include equities, options, bonds, warrants, Repos and Over-The-Counter Derivatives. The team manages a wide range of complex processes, with members developing skills and competencies around derivatives, regulatory margin requirements, stress testing, review of portfolio liquidity and concentration, and independent price verification (IPV).

JOB DESCRIPTION

Tasks / Projects Associate Will be Responsible For:

  • Daily monitoring of client portfolios, issuing and receiving collateral calls to ensure the firm’s credit risk is mitigated.
  • Reporting specific metrics such as concentrated positions, liquidity reporting, stress reporting, and the review of Independent Price Verification (IPV) for fixed income securities
  • Contributing to the completion of presentation decks for the CAD PB Dashboard forum and presented/reviewing specific slides with senior management and stakeholders
  • Providing information and analysis to partners to related to portfolio risks, and the business level exposures across product type, seniority, industry, country, etc.

JOB REQUIREMENTS

We’re proud to work with a group of diverse colleagues. If you have relevant experience that isn’t mentioned

below, tell us about it in your resume or cover letter.

  • Currently enrolled in an undergraduate degree in Finance, Accounting, Analytics, Data, Business/Commerce or related field
  • Must be enrolled in an undergraduate degree with the intent of going back to school at the start of your work term (requirement of all co-op/intern positions)
  • Candidates with experience in Risk Management roles, familiarity with CIRO and FINRA regulations and familiarity the principals governing portfolio management will be favourably positioned
  • Technical skills (Excel/SQL/VBA etc) and the CFA and FRM credentials will also be viewed favorably
  • Self-starter with a high degree of initiative and the ability to learn and adapt quickly
  • Strong analytical skills and attention to detail
  • Knowledge of financial instruments, regulations, and market risk metrics, gained through academic study, or practical experience.

ADDITIONAL INFORMATION

Add if applicable: Please note that this is a general posting. If you are selected for an interview, more information regarding which business group and the specific job duties will be provided.

  • This position is a 4-month work term and will commence Sept 8 – Dec 31 2026.
  • Applications must include a transcript, cover letter (one letter-sized page or less) and a resume (maximum of 2 pages).
  • We welcome all applications; however, we wi

Skills & Requirements

Technical Skills

Risk managementMarket riskCollateral riskCredit riskCollateral monitoringOtc derivativesSecurity financing transactionsPortfolio liquidityConcentrationIndependent price verificationPresentation decksPortfolio risksBusiness level exposuresCommunicationCollaborationPrime brokerageMarket risk and collateral risk analyticsTd securities

Salary

£45,700 - £74,400

year

Employment Type

INTERN

Level

mid

Posted

4/15/2026

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