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Manager, Treasury Risk Analytics - LATAM Region @ Scotiabank

Remote · USA Full-time New today

Requisition ID: 232196 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. The manager in TFRM International team is primary focused on providing structural, liquidity, and market risk oversight for Scotiabank's operations in Latin America and Caribbean units, ensuring all positions and their inherent key risks are properly identified, quantified, monitored, and reported. This role has regular exposure to Senior Management across different areas and jurisdictions to discuss and provide recommendations on market risk related issues in the region; written and oral presentations are done on a regular basis to Senior Level Executives. The manager will also assess business proposals and provide recommendations on the appropriate risk frameworks in line with Scotiabank's standards and policies. Other activities include, designing periodic reports, developing tools to improve the team's risk oversight, reviewing the risk framework of the different jurisdictions, assessing data quality, ensuring information integrity, and implementing technology related projects. Is this role right for you? In this role, you will: Business Relationship: Develop effective relationships with business lines that foster awareness of the Bank's risk framework and sharing of information. Proactivity: Self-initiated behavior that endeavors to propose and execute solutions to daily challenges and tasks. Market Intelligence/Proactive Analysis: Maintain regular dialogue with business lines and control functions with respect to market developments and risk matters, including changes in risk profile and P&L drivers. Monitor international financial markets/events, identify new trends and summarize new regulatory requirements. Responding to Requests/Events: Facilitate effective risk-reward decisions by providing an independent opinion on business initiatives, including calibrating risk limits in alignment with the Bank's risk appetite framework. Valuation: Ensure portfolios are accurately valued through analysis of daily P&L results and oversight over Independent Price Verification process. Communication: Distilling relevant daily risk/market information into highlights, ensuring material issues are communicated to… Apply To This Job

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