Chief Analyst
at National Bank of Canada
Montréal, QC, Canada -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 10 Nov, 2024 | Not Specified | 10 Aug, 2024 | 5 year(s) or above | Critical Thinking,Derivatives,Group Insurance,Addition,Collaboration Tools,Leadership,Community Initiatives | No | No |
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Description:
As a senior advisor fund administration in the cotation & evaluation team at National Bank, you’ll be a contributor in the realisation of various key deliverables while working closely with other colleagues. With your leadership, your experience in derivative securities and your finance knowledge, you’ll have a positive impact on the client experience.
REQUIRED SKILLS:
- Bachelor’s degree related to the sector of activity OR university certificate/PUB 1st cycle and 7 years of relevant experience
- 5 to 10 years of experience in derivatives
- Leadership and rigor
- Critical thinking focused on problem solving
- Knowledge of Excel software (desirable)
PREFERRED SKILLS:
- CFA designation completed or in the process of being obtained
- Knowledge of mutual and exchange-traded funds
- Knowledge of industry practices in derivatives
Your benefits
In addition to competitive compensation, upon hiring you’ll be eligible for a wide range of flexible benefits to help promote your wellbeing and that of your family.
- Health and wellness program, including many options
- Flexible group insurance
- Generous pension plan
- Employee Share Ownership Plan
- Employee and Family Assistance Program
- Preferential banking services
- Opportunities to get involved in community initiatives
- Telemedicine service
- Virtual sleep clinic
These are a few of the benefits available to you. We have an offer that keeps up with trends as well as your needs and those of your family.
Our dynamic work environments and cutting-edge collaboration tools foster a positive employee experience. We actively listen to employees’ ideas. Whether through our surveys or programs, regular feedback and ongoing communication is encouraged.
Responsibilities:
- Act as the derivative products expert for our sector
- Analyse the most complex securities held in our funds
- Design the plan to evaluate these securities properly
- Provide specialized advice to all parties involved
- Participate in the opening and integration of new funds (mutual funds or ETF)
- Lead the new evaluation process of ETF
- Do good stakeholder management (internal and external)
- Train colleagues to ensure your own succession (be a mentor)
- Anticipate problems and develop solutions to mitigate risks
- Establish control mechanisms
- Participate in various large-scale projects in the sector
REQUIREMENT SUMMARY
Min:5.0Max:10.0 year(s)
Financial Services
IT Software - Other
Finance
Trade Certificate
Bachelor's degree related to the sector of activity or university certificate/pub 1st cycle and 7 years of relevant experience
Proficient
1
Montréal, QC, Canada