EY Senior Consultant, Financial Services Risk Management - Toronto in ON, Canada
Title: Senior Consultant, Financial Services Risk Management - Toronto
Job Number: EYT0000Y
EY’s people in more than 150 countries are committed to operating with integrity, quality and professionalism in the provision of audit, tax and transaction advisory services. We strive to help all of our people achieve their professional and personal goals through an inclusive environment that values everyone's contributions, appreciates diversity of thought, fosters growth, and provides continuous opportunities for development. Recognized as one of Canada's top employers, EY continually strives to be a great place to work.
Our Financial Services Risk Management (FSRM) practice is a specialty advisory unit that provides integrated market, credit and operational risk management; operations improvement, business integration, and strategic cost management; and regulatory and treasury advisory services to financial institutions and other capital markets participants. FSRM includes individuals who have industry, client and product knowledge as well as quantitative, regulatory, project management and technology professionals. Our teams work together to coordinate the delivery of risk management, regulatory and business performance services to a variety of clients, including commercial banks, investment banks, broker-dealers, asset managers, insurance and energy trading companies, and other organizations.
The FSRM Senior Consultant will be involved in all aspects of the delivery of financial risk services to advisory and assurance client accounts covering risk governance frameworks; risk identification, quantification and reporting for insurance, credit, market and operational risks; regulatory and economic capital assessments; compliance with OSFI and AMF requirements; the ORSA program; enterprise stress testing models and other initiatives such as living wills.
The Senior Consultant will be responsible for supporting engagement execution, as well as developing and maintaining productive relationships with clients.
To deliver these comprehensive risk services, we are looking for individuals with 3 years of relevant experience and attributes in a number of areas:
University degree required
Minimum 3 years of relevant experience
A risk management designation such as FRM or CERA would be an asset
Experience working with the OSFI regulatory capital requirements for Banks
Experience with credit risk modelling in a banking environment including models for the purposes of adjudication, regulatory, accounting, stress testing and economic capital.
Experience working with data and performing related analysis including knowledge of programming languages such as SAS, R, Python or matlab.
Experience working in a banking environment with a well-developed risk management culture and infrastructure or comparable experience working as an advisor to financial services companies
Possess the desire and ability to work closely with quantitative and technology professionals on engagements
Possess strong analytical and problem-solving skills, and demonstrated knowledge in banking, credit, market risk and operational risk measurement and management
Self-motivated and willing to ask probing questions to identify client opportunities
Possess strong communication, presentation and technical writing skills to describe ideas, concepts and issues that involve interpretation, analysis and assessment of complex conceptual topics
Possess a self-starting attitude, an ability to think outside the box and thrive on new challenges
Willingness to travel on short notice to meet client needs
EY is committed to inclusiveness, equity and accessibility. We encourage all qualified candidates to apply .