Cibc
Finance
Director,FixedIncomeMarketRiskManager
“Director, Fixed Income Market Risk Manager at Cibc. Skills: Fixed Income Market Risk Management, Risk Measurement, Risk Monitoring, Risk Control, Regulatory Compliance. Oversee CIBC’s fixed income trading activities in the US. Ensure market risks associated with these activities are identified, measured, and managed”
What You'll Achieve.
Ensure compliance with all relevant regulatory requirements; Provide assurance that risks within our mandate are properly identified, assessed, monitored, and managed; Ensure that market risks associated with these activities are completely identified, measured, and managed
Industry & Context.
Analytical foundations of pricing and risk management; Analytical techniques; Risk assessment; Risk capture; Risk metrics; Limit monitoring; Risk scenarios
What They're Looking For.
Must Have
3+ years of market risk management experience on a trading floor, Understanding of the pricing of and risks associated with fixed income products, Highly proficient Excel skills
Nice to Have
Undergraduate degree in a quantitative discipline, Knowledge of Python, VBA, and/or other programming languages
What You'll Do.
Oversee CIBC’s fixed income trading activities in the US
Ensure market risks associated with these activities are identified
Support the development of new business initiatives
Conduct ad-hoc analyses of specific risks and transactions
Participate in leading group-wide projects
Apply advanced analytical techniques
Ensure appropriate risk frameworks are in place to control market risk
Monitor against limits
Maintain continuous awareness of the risk profile of the Fixed Income business and market developments
Provide timely and accurate market risk updates to senior management
Ensure the integrity of risk metrics and limit monitoring
Resolve violations of market risk limits
Perform due diligence in the onboarding of new products and initiatives
including risk assessment and risk capture
Work with technology and business support groups to design and improve risk models
Develop and enhance portfolio risk and stress testing
Ensure compliance with all market risk regulatory requirements
Contribute to Enterprise Risk Management exercises and reporting
How You'll Work.
Team & Collaboration
Collaborate closely with traders, treasury, operations, financial control, audit, technology, middle office, and other teams within CMRM; Work with technology and business support groups to design and improve risk models
Communication Scope
Articulate technical, complex ideas to a variety of audiences
Process & Methodology
Manage multiple projects of varying complexity
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