Chief Advisor Quantitative Risk specialist Capital Markets

Banque Nationale du Canada$120K — $150K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's or Master's degree in quantitative finance, mathematics, statistics, engineering, actuarial sciences, economics, or related fields.
  • 10+ years of relevant experience in Capital Markets.
  • Expertise in risk andvaluation of complex financial instruments (e.g., VaR, stress testing, P&L decomposition).
  • Strong understanding of model risk management practices, including the model lifecycle.
  • Regulatory familiarity, specifically with OSFI Guideline E-23.
  • Excellent communication skills to articulate complex topics to non-quantitative stakeholders.
  • Demonstrated collaborative abilities and stakeholder engagement skills.

Responsibilities

  • Lead and execute audits focused on model risk and quantitative analysis within Capital Markets.
  • Assess end-to-end model lifecycle controls, ensuring compliance with governance and regulatory standards.
  • Conduct quantitative audits, including independent calculations and backtesting.
  • Serve as a trusted advisor on quantitative topics for internal stakeholders.
  • Negotiate with senior management on findings and action plans for model risk issues.
  • Coach the team on auditing practices and quantitative concepts.
  • Translate complex quantitative insights into actionable information for senior leaders.

Benefits

  • Comprehensive health and wellness program with various options.
  • Flexible group insurance plans.
  • Generous pension plan for retirement savings.
  • Employee Share Ownership Plan to encourage investment in the bank.
  • Employee and family assistance program for support.
  • Preferential banking services for employees.
  • Participation in community initiatives for social impact.
  • Access to telemedicine services for health consultations.
  • Specialized virtual sleep clinic for wellness support.
Full Job Description
A career in the Internal Audit Capital Markets team at National Bank, means using your quantitative expertise to challenge models and risk analytics that support trading, market risk and valuation control. As Chief Advisor - Model & Quantitative Specialist, you will lead and deliver audits focused on model risk, market risk methodologies and front-to-back controls, helping strengthen governance, improve outcomes, and ensure key decisions are supported by robust analytics. You will partner closely with Market Risk, Front Office and other control functions, and you will act as a go-to subject matter expert for complex quantitative topics across the team.

Your role
  • Lead and/or execute audits across Capital Markets with a primary focus on model risk and quantitative topics (e.g., market risk models, stress testing frameworks, limit controls, valuation and model governance)
  • Assess model lifecycle controls end-to-end (development, implementation, independent validation, monitoring, change management and documentation) and evaluate alignment with governance expectations and regulatory requirements (including OSFI Guideline E-23)
  • Perform quantitative audit procedures such as independent calculations, benchmarking/challenger analyses, sensitivity/stability testing and backtesting review to support clear, evidence-based conclusions
  • Act as a trusted Internal Audit advisor for quantitative/model related topics with Front Office, Market Risk and Finance/Valuation Control, helping translate complex quantitative topics into actionable risk insights for senior stakeholders
  • Influence and negotiate with senior management on the severity, root cause and remediation of issues raised; drive practical, measurable action plans
  • Coach and upskill the team on quantitative concepts, model governance, audit best practices and effective challenge

Your team

You will join a multidisciplinary team of 20+ colleagues and report to the Senior Director - Internal Audit Capital Markets. You will work on high-impact, cross-functional mandates that provide a front-to-back view of the trading and risk ecosystem, with exposure to senior stakeholders and complex quantitative topics. We offer an environment that supports learning, knowledge sharing and work/life balance.
Prerequisite

  • Bachelor's or Master's degree in a relevant field (e.g., quantitative finance, mathematics, statistics, engineering, actuarial sciences, economics or related)
  • 10+ years relevant experience with exposure to Capital Markets
  • Strong risk and complex financial instrument valuation expertise (VaR, stress testing, sensitivities, P&L decomposition, pricing models)
  • Strong understanding of model risk management best practices (model lifecycle: development, implementation, validation, monitoring)
  • Regulatory literacy for model risk, including OSFI Guideline E-23
  • Excellent written and verbal communication skills - able to synthesize and explain complex quantitative topics to non-quant partners and senior management
  • Collaborative and confident in stakeholder communications of findings and remediation plans
  • A curious, proactive mindset with strong ownership, independence and attention to detail


Languages:

English, French

Reason to require this language: you will need to work closely with our colleagues outside Quebec.

Skills

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Artificial Intelligence Diversity & Inclusion Teamwork Cybersecurity Empathy Initiative Learning Agility Resiliency

Your benefits

In addition to competitive compensation, upon hiring you'll be eligible for a wide range of flexible benefits to help promote your wellbeing and that of your family such as:

* Health and wellness program, including many options

* Flexible group insurance

* Generous pension plan

* Employee Share Ownership Plan

* Employee and family assistance program

* Preferential banking services

* Involvement in community initiatives

* Telemedicine service

* Virtual sleep clinic

We have an offer that keeps up with trends as well as your needs and those of your family.

Our dynamic work environments and cutting-edge collaboration tools foster a positive employee experience. We value employees' ideas. Whether through our surveys or programs, regular feedback and ongoing communication are encouraged.

About Banque Nationale du Canada

Banque Nationale du Canada Careers

Joining Banque Nationale du Canada presents a prime opportunity to be part of a team that values innovation, leadership, and diversity. As one of the leading financial institutions, the bank offers a variety of job opportunities that cater to a range of skills and professional aspirations.

Explore Career Opportunities

Banque Nationale du Canada is actively hiring and continually seeks passionate, creative, and solution-driven team players. Explore open positions that match individual skills and interests in the dynamic world of finance. From entry-level roles to executive positions, each career path at Banque Nationale du Canada is designed to foster growth and leadership.

Internship Programs

Kickstart a career in banking with Banque Nationale du Canada’s internship programs. These opportunities allow interns to work on real projects, gaining hands-on experience and valuable insights into the financial sector. Internships are a stepping stone to full-time employment and offer a robust platform for networking and professional development.

Employee Benefits and Culture

Banque Nationale du Canada is committed to supporting its employees through comprehensive benefits, diversity training, and a culture that promotes work-life balance. The company’s benefits package includes health, dental, and vision insurance, alongside retirement plans and paid time off. The inclusive culture at Banque Nationale du Canada ensures that all team members feel valued and respected.

Professional Growth and Development

The bank champions professional growth and offers numerous resources for career advancement, including workshops, seminars, and continued education programs. Employees at Banque Nationale du Canada are encouraged to harness their potential and advance their careers within the company.

Innovation and Industry Leadership

At the intersection of technology and financial services, Banque Nationale du Canada leads with innovative solutions that redefine banking. Employees are part of a forward-thinking team that leverages technology to enhance customer experiences and drive industry leadership.

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Search for job opportunities that align with personal career goals at Banque Nationale du Canada. The company is looking for individuals who are curious, driven, and eager to make an impact in the financial industry.

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