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Corporation Canadienne de Compensation de Produits Dérivés
Senior Analyst, Risk Data ScientistCorporation Canadienne de Compensation de Produits Dérivés • Montreal,de, av. des Canadiens,Montreal
Senior Analyst, Risk Data Scientist

Senior Analyst, Risk Data Scientist

Corporation Canadienne de Compensation de Produits Dérivés • Montreal,de, av. des Canadiens,Montreal
30+ days ago
Job type
  • Full-time
Job description

Venture outside the ordinary - TMX Careers

The TMX group of companies includes leading global exchanges such as the Toronto Stock Exchange, Montreal Exchange, and numerous innovative organizations enhancing capital markets. United as a global team, we’re connecting cross-functionally, traversing industries and geographies, moving opportunity into action, advancing global economic growth, and propelling progress. Through a rich exchange of ideas, meaningful collaboration, and a nimble operating model, we're powering some of the nation's most critical systems, fueling capital formation and innovation, bringing increased opportunity to business visionaries, product ingenuity to consumers, and career exploration to our team.

Ready to be part of the action?

TMX's Post Trade Risk Management team manages financial risks for The Canadian Depository for Securities Limited (CDS) and The Canadian Derivatives Clearing Corporation (CDCC), developing and maintaining robust procedures, models, systems, and reporting aligned with TMX policies, TMX risk appetite, and PFMIs.


Reporting to the Senior Manager, Risk Integration, this role sits at the intersection of quantitative finance and software engineering. You will be a driving force behind our Core Risk Libraries and Calculation Applications. Your mandate is to design the foundational financial mathematics, package them into shared Python libraries, and build the robust calculation applications that process raw transactional data into actionable risk metrics. Collaborating closely with our Infrastructure and Reporting pillars, you will ensure our mathematical models are scalable, accurate, and seamlessly integrated into production.


This role reports to: Senior Manager, Quantitative Risk Management

Job Location: Hybrid (2-3 days in office) - based in Montreal, QC.


Key Responsibilities:


  • Core Risk Libraries & UAT: Design, develop, and maintain the foundational Python libraries containing core financial logic and mathematical models. Package and publish these libraries to our central artifact repository. Develop the UAT tools and frameworks necessary to validate third-party integrations against strict risk logic before they go live.
  • Calculation Applications: Consume core libraries to architect and build robust, scalable risk calculation applications. Ensure these applications efficiently process complex models and write high-quality analytical outputs to our databases for downstream reporting.
  • Quantitative Analysis & Modeling: Apply advanced data science and quantitative techniques for the in-depth analysis of equities, fixed income, derivatives, and structured products.
  • Continuous Improvement & Automation: Collaborate with the Analytics Infrastructure owner to containerize applications, optimize computational performance, and adhere to CI/CD best practices.
  • Documentation: Create and maintain comprehensive application documentation, solution diagrams, and mathematical flowcharts.

Skills and Experience:


  • Education: Bachelor’s degree in Computer Science, Engineering, Mathematics, or a Master’s degree in Financial Engineering (or a related field with a strong focus on finance and data science).
  • Experience: 3–5 years of hybrid experience bridging finance and programming; proven application of data science techniques in financial risk management.
  • Technical Skills:Advanced proficiency in Python (including OOP, Pandas, NumPy, and scientific computing libraries).Strong knowledge of SQL and database querying.Experience with code versioning (Git) and software development lifecycles.

  • Problem Solving: Strong time management, analytical skills, and the ability to prioritize complex technical projects in a high-pressure environment.

Nice to Have:


  • Certifications: FRM, PRM, or progression within the CFA program.
  • Tools & Architecture: Familiarity with LaTeX for mathematical documentation, Atlassian product suite (Jira, Confluence), and basic knowledge of containerization (Docker) or artifact management (Nexus).
  • Data Visualization: Familiarity with Business Intelligence tools (e.g., Tableau).

In the market for…

Excitement - Explore emerging technology and innovation, as well as ventures and digital finance that shape the future of global markets! Experience the movement of the market while grounded in the stability of close to 200 years of success.

Connection - With site hubs in some of the world’s most multicultural cities, we leverage our size and structure to create rich connections and belonging while experiencing powerful global impact through our work.

Impact - More than a platform, we use our talents to power mission-critical systems that drive global economic advancement, innovation, and growth. As well, our employee-led spreads social good via our giving strategy.

Wellness - From empathetic leadership to a culture of flexibility and balance, we believe wellness at work creates the maximum yield and a stronger “we”. Plus, with a cloud-first and hybrid workstyle, as well as generous time-off and leaves, we support a life well lived!

Growth - From a growth mindset in our work, to expansion in our business, TMX is home to action-takers energized by the achievement of ambitious growth.

Ready to enrich your career with impactful work, leaders who truly care, and the flexibility and programs to help you thrive as part of #TeamTMX ? Apply now.

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Senior Analyst, Risk Data Scientist • Montreal,de, av. des Canadiens,Montreal

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