Job Description

A leading global financial institution in Toronto is seeking a Collateral Risk Management Analyst. The role involves daily monitoring of client portfolios, issuing collateral calls, and investigating issues to mitigate credit risk. Candidates should have a minimum of two years in capital markets and possess strong analytical skills. A degree in a relevant field and technical skills in Excel, SQL, VBA, or Python are advantageous. This position offers competitive remuneration and a range of benefits.
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