This role is responsible for in-depth analysis of the CIBC US portfolio to assess risk and optimize credit exposure while ensuring alignment with regulatory requirements
Job Summary
This role is responsible for in-depth analysis of the CIBC US portfolio to assess risk and optimize credit exposure while ensuring alignment with regulatory requirements.
The successful candidate will drive cross-functional analytics initiatives by partnering with Finance, Risk, and Line of Business leaders to deliver data-driven solutions.
CIBC offers a competitive salary, incentive pay, a defined benefit pension plan, and a culture that supports hybrid work arrangements with 2-3 days on-site.
Matching Summary
This role is responsible for in-depth analysis of the CIBC US portfolio to assess risk and optimize credit exposure while ensuring alignment with regulatory requirements.
Salary
Competitive salary; Incentive pay available; Defined benefit pension plan included
Skills & Requirements
Must-have
3-5 years portfolio analytics experience
SQL query generation and data cleaning
Python or R programming proficiency
Power BI or Tableau dashboard creation
Regulatory capital and risk modeling knowledge
Nice-to-have
Microsoft Azure cloud platform exposure
Mentorship and team leadership skills
Advanced research and analytical capabilities
Qlik or Looker visualization tools
Collaborative cross-functional partnership
Key Requirements
Bachelor's or Master's degree in Finance, Economics, Statistics, or related field
Certified professional status required
3-5 years of experience in Portfolio Analytics or reporting
Legal eligibility to work in Canada (Toronto location)