Vice President, Capital Markets Operational Risk, Controls & Governance
Royal Bank of Canada Voir toutes les offres
- Toronto, ON
- 110.000-140.000 $ par an
- Permanent
- Temps-plein
- Develops and implements a risk management framework to better manage, measure, monitor, and report aggregate global investments risk exposures.
- Researches and evaluates best practices for investment organizations and business activities to control various risks; researches all investment risk management policies and procedures, limits, and guidelines.
- Develops technology-based tools and metrics and performs statistical data analysis to report, monitor, measure, and manage various aspects of investment risk exposures.
- Develops and implements processes, tools, and techniques to evaluate and validate investments models. Implements ongoing model validation processes.