Manager, Margin Management

Manulife

Toronto, Ontario, Canada
Base: $92,900.00 cad - $142,900.00 cad; bonus/equi...
Hybrid
Profitability and nim optimization
Bank p&l drivers analysis
Yield management
The Manager, Margin Management will lead profitability and Net Interest Margin (NIM) optimization across Manulife Bank’s portfolio, owning the analysis and planning of the bank P&L drivers

Job Summary

  • The Manager, Margin Management will lead profitability and Net Interest Margin (NIM) optimization across Manulife Bank’s portfolio, owning the analysis and planning of the bank P&L drivers.
  • This role will unify FP&A disciplines with yield management, building robust business cases, ideating profitability levers, impacting pricing decisions and influencing Funds Transfer Pricing (FTP) to align with strategy and financial targets.
  • Manulife offers eligible employees a wide array of customizable benefits, including health, dental, mental health, vision, short- and long-term disability, life and AD&D insurance coverage, adoption/surrogacy and wellness benefits, and employee/family assistance plans.

Matching Summary

The Manager, Margin Management will lead profitability and Net Interest Margin (NIM) optimization across Manulife Bank’s portfolio, owning the analysis and planning of the bank P&L drivers.

Salary

Base: $92,900.00 CAD - $142,900.00 CAD; Bonus/Equity: Incentive programs and incentive compensation tied to business and individual performance; Benefits: Health, dental, mental health, vision, disability, life insurance, retirement savings plans, paid time off

Skills & Requirements

Must-have

  • Profitability and NIM Optimization
  • Bank P&L Drivers Analysis
  • Yield Management
  • Pricing Decisions Influence
  • Funds Transfer Pricing (FTP)
  • Pricing Governance

Nice-to-have

  • Visionaries for banking future
  • Blend financial products and technology
  • Empower advisors and deepen relationships
  • Drive extraordinary outcomes
  • Bilingualism (English and French)

Key Requirements

  • 5+ years in FP&A, financial analysis, or product management
  • University degree in Finance, Economics, Mathematics, or related field
  • Proven experience with margin, spread, portfolio yield analysis
  • Advanced proficiency in financial modeling, reporting, business casing and scenario analysis
  • FTP experience is a strong asset

Work Rights

Not specified

Tailored Resume

Cover Letter