Senior Analyst, Enterprise Risk Management
- Employment type
- Full-time · On-site
- Posted
- September 27, 2026
- Province
- Ontario (ON)
Hiring confidence: Sparse posting · 22/100
This posting is missing most of the signals we look for, or shows patterns common to listings that are not actively being filled. Check with the employer before applying. How this is scored
Job Overview
This role is based in Ontario. Haventree Bank is hiring for this full-time position through Jobily, where you can check how well your resume matches the posting before you apply.
Market context
About this role in Ontario
Average salary for Senior Analyst, Enterprise Risk Management in Ontario
We do not have a salary benchmark for this title in Ontario yet. The posting does not state a salary either.
NOC code
This posting has not been matched to a NOC 2021 unit group yet. Use the NOC finder to identify the code from the duties listed above.
Typical qualifications for Canadian employers
- Experience in enterprise risk management or related risk discipline
- Understanding of financial services regulatory environment
- Strong analytical and quantitative skills
- Knowledge of risk frameworks and methodologies
- Proficiency with data analysis tools
Fit check
Is this role right for you?
Top skills this posting asks for:
- Enterprise Risk Management
- Risk Analysis
- Financial Risk Assessment
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What you'll do
- Analyze and assess enterprise risks across the organization
- Develop and maintain risk models and frameworks
- Monitor risk metrics and key risk indicators
- Prepare risk reports for senior management and stakeholders
- Support regulatory compliance and reporting requirements
- Identify emerging risks and recommend mitigation strategies
- Collaborate with business units on risk assessments
- Contribute to enterprise risk management strategy and policy
What you'll need
- Experience in enterprise risk management or related risk discipline
- Understanding of financial services regulatory environment
- Strong analytical and quantitative skills
- Knowledge of risk frameworks and methodologies
- Proficiency with data analysis tools
- Excellent written and verbal communication skills
- Bachelor's degree in finance, economics, mathematics, or related field