This role involves working closely with traders, data analysts, and Corporate Treasury teams to provide financial analytics, maintain, and develop data and analytics systems and reports. The successful candidate will support interest rate risk strategy and hedging for banking books, as well as structural FX and equity-linked hedging portfolios. The position requires understanding business needs and delivering actionable insights to aid trading decisions and contribute to Corporate Treasury's risk and portfolio management strategies.
Develop and maintain Python modules for trading operations.,Build Tableau dashboards and reporting tools to deliver insights to traders.,Integrate various trading systems, databases, and financial information for consistent and timely analytics and reporting.,Provide on-demand analytics using big data, valuation models, and tools to enhance trading practices.,Enhance processes through automation and advanced technology for increased efficiency.,Knowledge of fixed income and derivatives.,1-3 years of experience in Treasury/Finance/Trading related fields.,Proficient with Python/VBA/SQL/Tableau/Data visualization.,Strong attention to detail.,Strong team player and interpersonal skills.,Good communication skills.
Bachelor's degree in Math/Finance OR CFA designation.,Knowledge of portfolio reporting, P&L explained (Nice-to-have).,Experience in Product Control/Hedge Accounting department of the bank (Nice-to-have).
Bachelor's Degree
37.5 hours/week
Royal Bank of Canada is a global financial institution with a purpose-driven, principles-led approach to delivering leading performance. As Canada's largest bank, it provides personal and commercial banking, wealth management, and capital markets services to over 17 million clients worldwide.
BerryMap uses cookies to provide essential features, analyze usage, and improve your experience. You can customize your preferences below.