Vp, Risk Portfolio Control

BMO Financial Group

Toronto, Ontario, Canada
Base: $100,000 to $125,000 cad; bonus/equity: perf...
5+ years banking experience
Capital markets risk knowledge
Risk appetite monitoring
This role is responsible for producing, analyzing, and communicating risk metrics and dashboards to support business management in monitoring adherence to the Risk Appetite Statement

Job Summary

  • This role is responsible for producing, analyzing, and communicating risk metrics and dashboards to support business management in monitoring adherence to the Risk Appetite Statement.
  • The position acts as a key interface between the business, 2nd Line Risk, and governance forums to ensure risk information is accurate, timely, and decision-useful.
  • Candidates must have strong communication skills to translate complex data into clear executive-level narratives explaining risk drivers and management actions.

Matching Summary

This role is responsible for producing, analyzing, and communicating risk metrics and dashboards to support business management in monitoring adherence to the Risk Appetite Statement.

Salary

Base: $100,000 to $125,000 CAD; Bonus/Equity: Performance-based incentives and discretionary bonuses possible; Benefits: Health insurance, tuition reimbursement, accident/life insurance, retirement savings plans

Skills & Requirements

Must-have

  • 5+ years banking experience
  • Capital Markets risk knowledge
  • Risk appetite monitoring
  • Executive narrative development
  • Data quality governance

Nice-to-have

  • Automation tool expertise
  • Strong visualization skills
  • Emerging risk assessment
  • Cross-functional collaboration

Key Requirements

  • Undergraduate degree in Business, Finance, or Economics
  • Minimum 5+ years in banking or financial services
  • Experience in 1st line internal control or risk management

Work Rights

Not specified

Tailored Resume

Cover Letter