Job Description

A leading finance company in Toronto is seeking a candidate to analyze and manage residual value risk. The role involves reporting on portfolio risks, preparing forecasts, and working cross-functionally to enhance lease products. An ideal applicant will have 2-3 years of experience in Risk Management or related fields, a Bachelor’s degree in a quantitative area, and proficiency in SAS and SQL. This position offers valuable experience in a collaborative and dynamic environment.
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