Scotiabank

SUBGERENTE DE RIESGOS DE PORTAFOLIO, DERIVADOS Y FONDOS

Scotiabank

Core Responsibilities

Lead and supervise the Portfolio and Derivatives Risk area for Wealth & Pensions, ensuring business strategies comply with internal policies and regulations. Manage market, liquidity, and derivative risks while leading a team of analysts to maintain risk/return profiles consistent with investment objectives.

Requirements

Requires a bachelor's degree in Economics, Administration, or Industrial Engineering with at least 6 years of experience in investment or integral risk management. Must hold a CFA Level I certification and possess advanced knowledge of Capital Markets, Visual Basic, and English.

Additional Information

Experience Level

5-10

Job Language

Spanish

Work Mode

On-site