Location
toronto
Job Type
Full-time
Posted
June 14, 2026
Job Description
Elevate financial performance as the Manager of Structural Interest Rate Risk in Toronto, Ontario. This essential role focuses on derivatives management, risk analytics, and regulatory compliance within Group Treasury's Balance Sheet Management.
In this managerial position, you will be responsible for directing non-linear hedging strategies and analyzing the impact of market volatility on various risks. You will collaborately work with cross-functional teams to enhance risk management and develop effective hedging models. Your work will directly contribute to the optimization of treasury operations.
Key Responsibilities:
• Direct non-linear hedging strategies for interest rate risk
• Analyze market volatility impacts on financial risks
• Develop and optimize hedging models and strategies
• Collaborate with teams for effective risk management
• Enhance automation for operational transparency
Requirements:
• Master’s degree in finance or related field
• 3+ y...
In this managerial position, you will be responsible for directing non-linear hedging strategies and analyzing the impact of market volatility on various risks. You will collaborately work with cross-functional teams to enhance risk management and develop effective hedging models. Your work will directly contribute to the optimization of treasury operations.
Key Responsibilities:
• Direct non-linear hedging strategies for interest rate risk
• Analyze market volatility impacts on financial risks
• Develop and optimize hedging models and strategies
• Collaborate with teams for effective risk management
• Enhance automation for operational transparency
Requirements:
• Master’s degree in finance or related field
• 3+ y...
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