Risk Analyst/Counterparty Credit Risk

  • Date Posted Sep 2, 2022
  • Location Toronto, Ontario
  • Job Type Contract
  • Job ID 15107

Do you seek challenges and personal development opportunities, and have the courage to make a difference? Are you a motivated, flexible, creative team player with perseverance, excellent multi-tasking abilities and a proven track record for meeting strict deadlines? Then, Apply Now!

Working with one of the top financial clients this role calls for a Risk Analyst/Counterparty Credit Riskwho will be responsible for managing counterparty credit risk as well as for demonstrating innovation and a proactive approach to risk mitigation by highlighting inefficiencies and risks and implementing improvements. This candidate will be involved in close partnership and interaction with a wide range of areas, including credit, middle office, legal, front office, settlements, and corporate treasury. The successful candidate will be required to possess strong communication skills.


  • Daily monitoring of client portfolios, issuing and receiving collateral calls to ensure the firm’s credit risk is mitigated.
  • Ensure margin tickets are accurately entered into the collateral system
  • Extensive interaction with clients.
  • Ensure process reviews are conducted in accordance with Global Short-term Markets Policy
  • Resolution and escalation of collateral issues.
  • Reconciliation of repo collateral statements upon margining disputes
  • Contribute their ideas to make a difference and add value to the group.
  • Ongoing, proactive risk management via staying abreast of risk issues in the capital markets and assessing impacts on our exposures
  • Seek opportunities to increase operational efficiency and lower operational risk through process reengineering
  • Performing a number of control functions, ensuring the integrity of our processes.
  • Establish an environment that promotes respect for the individual employee and adheres to the policies and guidelines of the Bank

Desired skill set:

  • 5 years of experience in Risk management with direct fixed income knowledge
  • Experience in Data Entry in reference to the collateral system
  • Expertise in Advanced Microsoft Excel
  • Strong communication skills
  • Excellent time management and prioritization skills
  • Effective problem-solving skills with a high degree of attention to detail
  • Expertise in Advanced Microsoft Excel

Nice to have:

  • Previous experience with Collateral or Margin

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