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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 Business Planning and Analysis Portfolio AnalyticsToronto, Ontario, Canada01/04/2010
Manager Credit Risk Business AnalysisToronto, Ontario, Canada03/10/2010
Manager Global Equity Derivatives Market Risk ManagementToronto, Ontario, Canada03/03/2010
Manager Model DevelopmentToronto, Ontario, Canada03/05/2010
Manager Statistical Analysis Portfolio AnalyticsToronto, Ontario, Canada01/04/2010
Risk AnalystToronto, Ontario, Canada03/03/2010
Senior Analyst Internal Ratings ManagementToronto, Ontario, Canada02/17/2010
Senior Manager Basel AnalyticsToronto, Ontario, Canada01/04/2010
Senior Manager Collection Strategy and Policy ImplementationToronto, Ontario, Canada02/21/2010
Senior Manager Hedge Funds Credit AdjudicationToronto, Ontario, Canada12/08/2009
Senior Manager Model Validation and Stress TestingToronto, Ontario, Canada02/23/2010
Sr. Manager Small Business Credit Risk ManagementToronto, Ontario, Canada01/18/2010

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Most Recent Jobs

Risk Analyst - Toronto, Ontario
Description: POSITION SUMMARY: The Analyst contributes to the control of credit and operational risk for Domestic Personal Lending and Small Business products by providing analytical support to the Risk Management group, including policy, new acquisitions, portfolio management, collections, and provisions. He/she undertakes detailed statistical analysis to assess credit risk policies, strategies and predictive models. The incumbent is...
Reference Code: 66854
Manager Global Equity Derivatives Market Risk Management - Toronto, Ontario
Description: Manager, Global Equity Derivatives Market Risk ManagementGlobal Equity Derivatives trading business, Traded products include equity options (OTC and listed), total return swaps, variance swaps and dividend swaps. OTC options range from plain vanilla to more structured options relating to structured note offerings. Job SummarySituated on the Scotia Capital trade floor, you will ensure that market risks in the Global Equity...
Reference Code: 66895
Manager Model Development - Toronto, Ontario
Description: POSITION SUMMARY: The Manager, Model Development contributes to the risk and profitability management of the Domestic Retail Bank Credit Portfolios by controlling and assessing risk (credit and operational) through the development of automated credit acquisition and account management models and score related policies. The incumbent is required to identify credit and operational risk and assist in the development of compl...
Reference Code: 67018