Analyst, Term Funding and Capital Management
Ontario 2 days ago
Job Description
Requisition ID:
Join a purpose driven winning team, committed to results, in an inclusive and high:performing culture.
Reporting to theAssociate Director, the Analyst,Term Funding and Capital Management is responsible to support with respect to the issuance of the Bank's wholesale term funding or capital, the management of the Bank's wholesale funding programs and the preparation of Fixed Income investor marketing materials and Sustainable Asset Portfolio.
Is this role right for you? In this role, you will:
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Support the issuance, redemption and/or repurchase of wholesale term funding or capital instruments and maintenance of wholesale term funding programs by:
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Performing market research, pricing and other funding related analysis
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Summarizing information from dealers, lawyers, rating agencies and other third:party providers
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Supporting on transaction execution
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Assisting with Program renewals
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Maintaining lists of established processes and controls
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Perform booking, reporting, analytics and other department processes:
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Support maintenance of dealer scorecard, issuance database and other relevant dashboards
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Prepare investor reports for capital and wholesale term funding programs and collateral pool management, in conjunction with product areas, as applicable
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Manage tickets in Peak/Wallstreet : monthly re:bookings, new transactions, and ticket issues' resolution
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Maintain calendars and schedules to support department efficiency
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Develop/enhance research analytical tools and/or dashboards that help summarize and assess data more effectively and comprehensively, and drive process improvements through automation:
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Building and maintainingdashboards for pricing, maturity profile, trends, rate movements, capital/leverage/liquidity ratios impacts and any additional data that would support management's decision:making process
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Improve existing databases maintained by the team
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Enhance reporting capabilities by automating processes to reduce manual intervention
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Support the Bank's Sustainable Issuance program, as applicable:
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Update/maintain the sustainable asset portfolio
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Prepare materials for ESG Sub:ALCO
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Support annual ESG reporting process
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Support fixed income investor relations program by creating/updating PowerBI dashboards and preparing fixed income marketing materials
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Support internal and external control functions (Audit, SoX, Operational Risk Assessment, Compliance Assessment)
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Support department initiatives, including Bank:wide regulatory projects or requirements (e.g. stress testing)
Do you have the skills that will enable you to succeed? We'd love to work with you if you have experience with:
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Undergraduate or graduate degree in Business, Finance, Financial Engineering, Mathematics, and Economics preferred. Non:business degree combined with CFA or accounting designation would be acceptable
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Experience at a top:tier financial institution, with knowledge in finance and data analytics; or for new graduates, demonstrate top tier academic standings in courses related to quantitative financial and technical programming disciplines
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Capital markets experience/exposure is an asset
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Strong knowledge of data management/visualization applications: Excel, Power BI among others
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Knowledge of statistical and analytical tools and programming languages: Python, MATLAB, SQL, is an asset
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Familiarity with Bloomberg terminal and functions is an asset
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Strong analytical and math skills
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Strong presentation and communication skills, both oral and written
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Strong attention to detail is required
Whats in it for you?
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In:depth training to prepare you for the role, as well as ongoing coaching and feedback to help you succeed
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Youll be part of a diverse, collaborative, innovative, and high:performing