Manager, Finance & Portfolio Analytics

CIBC

Toronto, ON, CA
Competitive salary; incentive pyy available; defin...
Hybrid
3-5 years portfolio analytics experience
Sql and python programming proficiency
Power bi or tableau dashboard creation
The role is responsible for in-depth analysis by assessing portfolio risk, optimizing credit exposure, and providing data-driven recommendations to support sound decisions

Job Summary

  • The role is responsible for in-depth analysis by assessing portfolio risk, optimizing credit exposure, and providing data-driven recommendations to support sound decisions.
  • CIBC offers a competitive salary, incentive pay, banking benefits, a defined benefit pension plan, and a paid day off dedicated for growth called Purpose Day.
  • This position requires a hybrid work arrangement where the successful candidate will spend 2-3 days per week on-site while working remotely on other days.

Matching Summary

The role is responsible for in-depth analysis by assessing portfolio risk, optimizing credit exposure, and providing data-driven recommendations to support sound decisions.

Salary

Competitive salary; Incentive pay available; Defined benefit pension plan included

Skills & Requirements

Must-have

  • 3-5 years portfolio analytics experience
  • SQL and Python programming proficiency
  • Power BI or Tableau dashboard creation
  • Regulatory capital and RWA analysis
  • Credit risk assessment and reporting

Nice-to-have

  • Azure cloud platform exposure
  • Qlik or Looker visualization tools
  • Python Plotly library usage
  • Mentorship of junior analysts
  • Advanced research capabilities

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
  • Proficiency with Python libraries including Pandas, Numpy, and Matplotlib

Work Rights

Must be legally eligible to work in Canada

Tailored Resume

Cover Letter