AVP, Risk Management
About this role
AVP, Risk Management
Overview
The role supports the Financial Risk function within MUFG Canada Risk Management, with a focus on the production, analysis, governance and continuous enhancement of liquidity risk, market risk, credit risk and interest rate risk in the banking book reporting. Reporting to the Financial Risk Vice President, the incumbent is responsible for preparing and maintaining recurring risk reports, supporting ECL and portfolio credit risk analysis, monitoring risk appetite and limit metrics, maintaining EUC and procedure documentation, and assisting with committee materials for IRC, ECC, Liquidity Risk and Market Risk governance forums.
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