Associate - U.S. Non-Trading Market Risk Manage... @ TD
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Job Details
Overview
The Associate - U.S. Non-Trading Market Risk Management role at TD is a non-trading risk management position that focuses on interest rate risk on the banking book and treasury/balance sheet risk management. In this position, you will provide guidance and support to business partners, oversee risk processes, and ensure compliance with US regulations.
Key Responsibilities
- Oversee non-trading market risk management and risk control processes.
- Review key assumptions, model usage, hedging effectiveness, and investment portfolio risks.
- Develop and maintain risk dashboards and reporting for senior management.
- Ensure compliance with US regulations and internal risk policies.
- Liaise with Treasury, Front Office, and other risk teams for effective communication.
- Facilitate stress tests, scenario analysis, and risk reporting.
Requirements
The ideal candidate will have a bachelor’s degree (advanced degree preferred), 2-4 years of relevant experience, and strong analytical skills. Knowledge in interest rate, FX, and equity risk models is essential. Strong attention to detail and ability to meet deadlines are critical.
About TD
TD Securities offers a broad range of capital markets products and services. With a diverse team in more than 40 cities globally, TD provides growth opportunities, extensive training, and comprehensive total rewards packages, fostering a culture of continuous development.
Key Skills/Competency
- Market Risk
- Non-Trading
- Interest Rate
- Liquidity
- Risk Control
- Compliance
- Stress Testing
- Reporting
- Regulatory
- Analysis
How to Get Hired at TD
🎯 Tips for Getting Hired
- Customize your resume: Highlight risk management and analysis expertise.
- Research TD: Review their risk culture and compliance practices.
- Tailor your application: Emphasize non-trading risk experience.
- Prepare for interviews: Practice technical and behavioral questions.