Contract Length : 13 months (16-Dec-2024 to 23-Jan-2026)
Location : Toronto (Hybrid, 2 days in-office)
Industry : Financial Services
Role Summary :
We are seeking a skilled Manager in FX Valuations to oversee accurate valuations for Commodity and FX derivative trading and underwriting portfolios. The successful candidate will establish valuation adjustments and regulatory reserves, manage valuation methodologies, and ensure model compliance with GAAP / IFRS standards. This role includes staff management and collaboration with multiple business units to optimize valuation practices.
Must-Have Qualifications :
4+ years of FX Valuation experience in financial institutions.
Expertise in Market Risk Valuation.
Comprehensive knowledge of Commodity / FX derivative products and risk methodologies.
Proven leadership in strategic initiatives.
Nice-to-Have Skills :
Proficiency in VBA & Python.
Capital Markets background and Big 6 bank experience.
Familiarity with finance / accounting principles and back-office processes.
Soft Skills :
Strong problem-solving, quantitative, and relationship management skills.
Ability to manage, coach, and develop teams.
Excellent communication and attention to detail.
Education :
Bachelor’s degree or higher (Math / Finance preferred).