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Business Analyst IV

Canada, Toronto 60.00 - 62.00 USD / Hour · Job Posted May 31, 2026
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Job Description

Our client, a leading financial institution, is seeking an experienced Business Analyst IV to join their Liquidity & Non-Market Trading Risk team in Toronto. This opportunity is ideal for a seasoned business analyst with strong expertise in liquidity risk measurement, regulatory reporting, and financial risk systems enhancement. This is a long-term contract opportunity supporting business-as-usual (BAU) enhancements across existing liquidity systems and risk management infrastructure. The successful candidate will work closely with internal stakeholders to support deliverables, timelines, reporting enhancements, and ongoing system improvements within a collaborative and high-performing environment. The role follows a hybrid work model with four days onsite and one day remote per week at the client’s downtown Toronto office.

Job Responsibility

  • Support enhancements and ongoing improvements to liquidity risk management systems and reporting processes
  • Analyze and document business requirements related to liquidity and market risk initiatives
  • Work with internal stakeholders to support deliverables, timelines, and project objectives
  • Contribute to the development and enhancement of risk measurement and reporting capabilities
  • Support reporting and analysis for liquidity metrics including LCR, NCCF, NSFR, and stress testing scenarios
  • Assist in identifying process improvement opportunities within risk management infrastructure
  • Utilize reporting and visualization tools such as Power BI to support business insights and decision-making
  • Collaborate with technology and business teams to implement solutions aligned with regulatory and compliance requirements
  • Participate in meetings, stakeholder discussions, and project updates as required

Requirements

  • 8–10 years of Business Analysis experience within banking or financial services
  • Strong experience with market and liquidity risk measurement and reporting
  • Hands-on exposure to liquidity metrics such as LCR, NCCF, NSFR, stress testing and stress scenario analysis
  • Strong understanding of financial instruments, market risk metrics, and regulatory environments
  • Experience working within regulatory and compliance-driven environments
  • Proficiency with Microsoft Office applications
  • Experience using Power BI
  • Strong written and verbal communication skills
  • Excellent interpersonal and stakeholder management abilities
  • Highly organized, detail-oriented, and self-motivated
  • Ability to work independently and collaboratively within a team environment
  • Adaptable mindset with strong ownership and accountability

Nice to have

  • Experience with VBA, Python, SQL, or Alteryx
  • Knowledge of risk, valuation, and reporting systems
  • Master’s degree in a related discipline
  • CFA or FRM designation (completed or in progress)

What we offer

  • Opportunity to work with a highly respected financial institution
  • Long-term engagement with potential extension opportunities
  • Exposure to enterprise-level liquidity and risk management initiatives
  • Collaborative team environment with strong networking opportunities
  • Hybrid work arrangement with flexible anchor days
  • Opportunity to contribute to critical regulatory and compliance initiatives
  • Supportive onboarding and team integration process

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