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Market Risk Analysis Manager in Winnipeg, MB

Market Risk Analysis Manager Job Description

A Market Risk Analysis Manager oversees an organization's market risk management framework and team. This role develops, implements, and monitors methodologies to identify, measure, and manage market risks from trading/investments. The Market Risk Analysis Manager provides critical insights on market trends, risk concentrations, and portfolio sensitivities. This position demands deep financial market expertise, advanced quantitative skills, exceptional leadership, and proven ability to navigate complex risk environments. A Master's in Financial Engineering, Quant Finance, Math, or related field is preferred, with CFA or FRM essential. Profound understanding of Canadian financial markets, regulatory frameworks, and market conventions is paramount.

Typical market risk analysis manager duties:

Develop, implement, and maintain market risk framework and policies.Lead, mentor, and develop a team of market risk analysts.Oversee daily monitoring, measurement, and reporting of market risk exposures (e.g., VaR, stress testing).Provide insightful analysis of market trends, sensitivities, and risk concentrations.Collaborate with front office and trading teams on new products/strategies.Ensure compliance with internal risk limits and Canadian regulatory requirements.Prepare and present comprehensive market risk reports.Enhance risk models and systems.

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Salary for Market Risk Analysis Manager in Winnipeg, MB

89180 - 121275

Low
89180
The candidate is new to the role or has limited experience and is still developing core skills.
Mid
103880
The candidate has moderate experience in the role or one similar, meets most requirements and may hold transferable skills or relevant certifications.
High
121275
The candidate has extensive experience in the role, demonstrates advanced skills and often brings specialized certifications or industry experience.
Projected salaries for related positions Job title Low Mid High Chief Risk Officer – Financial Services 201390 239610 267295 Regulatory Reporting Manager 104615 121030 133525 Operational Risk Analysis Manager 97755 114415 132790 Operational Risk Analyst 78400 90160 103635 Market Risk Analyst 75460 85995 98000 Hedge Fund Accountant 66885 78890 88445 Fund Operations Specialist 52430 64190 79625 Anti-Money Laundering Specialist 64190 80115 91875 Fraud Investigator 55860 70070 79625 Mutual Fund Accountant 57820 64190 72030

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