Leading Investment organization in Toronto has a new opportunity for a management position in Risk Management. The role will oversee a team of 5-7 professional staff in support of investment decision making. This individual will work closely with upper management in day-to-day running of the team as well as special projects.
The ideal candidate must possess:
PhD or Masters in Math / related Science discipline
Exposure to Quantitative Finance (pricing, risk, and other models).
A CFA and/or strong understanding of financial instruments are an asset.
To express your interest in this role, please submit your resume below or email it to firstname.lastname@example.org, attention: Mark Frankel, and quoting job #18496.