About Risk Management Jobs
Scotiabank’s Risk Management professionals work in mitigating risk and exposure within the credit, securities and operational market by establishing credit policies and creating adjudication models for commercial and corporate banking.
Individuals in this field work in four areas: a) Credit Risk: corporate, commercial, real estate, international and consumer credit as well as special accounts management; b) Risk Policy: risk policy, operational risk and enterprise risk management and reporting; c) Ratings, Systems and Analytics: Basel, modeling analytics and internal ratings; d) Market Risk: interest rate and commodity, credit and equity derivative, hedge fund risk as well as asset liability management, international market risk and risk research and modeling.
Some job opportunities include: Sr. Manager, Credit Adjudication; Manager, Credit Adjudication; Analyst, Credit Adjudication; Analyst, Market Risk Management; Senior Manager, Market Risk Policy Analyst; Senior Manager, Interest and Commodities.
| Job Title |
Location |
Date |
| Manager Exposure & Capital Analysis Market Risk | Toronto, Ontario, Canada | 05/15/2012 |
| Sr. Manager Private Banking Credit | Toronto, Ontario, Canada | 05/15/2012 |
| Manager Liquidity & Interest Rate Risk | Toronto, Ontario, Canada | 05/14/2012 |
| Manager Market Risk Methodology & Research | Toronto, Ontario, Canada | 05/11/2012 |
| Sr. Manager Corporate Credit Special Industries & Power | Toronto, Ontario, Canada | 05/09/2012 |
| Manager Data Management Credit & Risk Management Analytics | Toronto, Ontario, Canada | 04/27/2012 |
| Senior Manager Analytics | Toronto, Ontario, Canada | 04/12/2012 |
| Senior Manager Policy Credit Cards | Toronto, Ontario, Canada | 04/12/2012 |
| Manager Campaign Design and Measurement | Toronto, Ontario, Canada | 03/26/2012 |
| Senior Manager International Credit Pacific | Toronto, Ontario, Canada | 03/26/2012 |
| Senior Manager Credit Origination INTBK | Toronto, Ontario, Canada | 08/12/2011 |
Most Recent Jobs
- Manager Liquidity & Interest Rate Risk - Toronto, Ontario
- Description: POSITION SUMMARYThe Liquidity and Interest Rate Risk (L&IRR) group provides independent oversight of the Bank's liquidity risks, structural balance sheet risks and of the hedging and investing strategies executed by Group Treasury and other treasury units. Liquidity & Interest Rate Risk (L&IRR) is responsible for risk oversight for Bank-wide liquidity, interest rate risk and investments. This is an excellent o...
Reference Code: 110050 - Manager Market Risk Methodology & Research - Toronto, Ontario
- Description: POSITION SUMMARY: As part of Scotiabank Global Risk Management, the Market Risk Measurement group is at the forefront of developing risk measures in response to current regulatory changes and risk management initiatives. The group is responsible for methodology, development, and support of models used to measure and manage risk for a wide variety of traded derivative products. The group covers both market and counterparty...
Reference Code: 109887 - Sr. Manager Private Banking Credit - Toronto, Ontario
- Description: POSITION SUMMARY: As part of Small Business and Wealth Management Credit Risk, you will be responsible for ensuring the effective and efficient maintenance of a designated portfolio of loans at an acceptable level of risk by exercising sound credit judgment in approving and recommending applications, monitoring credit quality, conditions, and collection activity, thereby ensuring loan losses are minimized.You will work wi...
Reference Code: 110069