Job Description
Drive structural market risk strategies as the Structural Market Risk Manager at BMO Financial Group. This role involves coordinating model development, assumption governance, and stakeholder collaboration in a dynamic environment.
In this senior managerial position, you will oversee model implementation and validation processes while ensuring alignment with regulatory standards. Collaborate with business units to optimize derivatives and fixed income models, and lead initiatives to fine-tune earnings and valuation assessments. Your analytical expertise will support data-driven decision-making within the finance and accounting team.
Key Responsibilities:
• Coordinate development of SMR models and perform testing
• Validate non-model assumptions impacting valuations
• Collaborate with stakeholders to provide strategic insights
• Define reporting requirements and optimize data processes
• Support change management related to strateg...
In this senior managerial position, you will oversee model implementation and validation processes while ensuring alignment with regulatory standards. Collaborate with business units to optimize derivatives and fixed income models, and lead initiatives to fine-tune earnings and valuation assessments. Your analytical expertise will support data-driven decision-making within the finance and accounting team.
Key Responsibilities:
• Coordinate development of SMR models and perform testing
• Validate non-model assumptions impacting valuations
• Collaborate with stakeholders to provide strategic insights
• Define reporting requirements and optimize data processes
• Support change management related to strateg...