Risk Analyst, Risk Assessment %Portfolio Management
Listed on 2026-01-13
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Finance & Banking
Risk Manager/Analyst, Financial Analyst
Final date to receive applications: January 22, 2026
Join the EDC Team!
Position: Risk Analyst, Risk Assessment & Portfolio Management
Employment Type: Permanent
Compensation Details:
- Portfolio Risk Management 17:
Salaries typically range from $84,698 to $112,931 annually, based on qualifications and experiences plus a performance-based incentive. - Portfolio Risk Management 18:
Salaries typically range from $96,557 to $128,743 annually, based on qualifications and experiences plus a performance-based incentive.
Location:
- Export Development Canada operates in a hybrid work environment, currently requiring employees to work in the office 2 days per week (subject to change).
- This role can be performed from EDC’s headquarters in Ottawa or from community hubs in Toronto or Montreal.
- Relocation assistance is available for candidates who meet the eligibility criteria.
About EDC:
At Export Development Canada (EDC), we empower Canadian businesses to succeed globally. As a financial Crown corporation, we offer innovative financial solutions and expert insights to help businesses explore new markets, mitigate risks, and achieve growth.
Why Join EDC?
- Collaborate with a diverse, experienced team
– Work alongside talented professionals who bring a wealth of knowledge and expertise to drive success. - Thrive in a supportive, teamwork-driven environment
– Flourish in a workplace where collaboration and mutual support are paramount. - Impact global communities through sustainable growth in emerging markets
– Make a meaningful difference by fostering sustainable development in key regions around the world. - Recognized as one of Canada’s Top 100 Employers, Best Diversity Employers, and a Top 100 Family-Friendly Employers
– Join a company that is celebrated for its commitment to excellence, diversity, and work-life balance. - Enjoy a comprehensive Total Rewards package:
- Flexible benefits
– Our program lets you choose coverage that suits your unique needs, including Medical, Dental, Life, and more. Plus, we offer additional Flex credits to tailor your plan even further. - Defined Contribution Pension Plan
– Secure your future with our generous matching program that helps you save for retirement. - Competitive vacation program
– Enjoy a work-life balance with our competitive vacation program, starting with 4 weeks of vacation and 2 floater days each year for permanent employees. - Comprehensive wellness programs
– Stay healthy and happy with access to wellness initiatives, mental health support, and fitness programs. - Professional Development
– Advance your career with our support for growth and development through conferences, language training, and educational opportunities.
- Flexible benefits
Team Overview:
The Risk Assessment & Portfolio Management (RAPM) team monitors the Insurance portfolio, performing independent credit risk assessment and portfolio management and ensuring that appropriate action is taken when the credit risk of a company is no longer considered acceptable. RAPM participates in the ongoing review of the Insurance group's credit granting and credit surveillance standards and its policies and procedures for risk acceptance.
We are looking for dynamic and motivated credit professionals to manage a portfolio of buyers, performing independent credit and financial risk assessment to assess the commercial risk acceptance and repayment capabilities of these companies, in support of our Insurance program.
What you will be doing:
- Conducts due diligence and necessary analysis to establish the creditworthiness and risk level of the buyer and/or transactions based on the financial review of the buyer as well as the assessment of other factors such as country economic conditions, payment terms etc.
- Assesses and evaluates requests for new credit.
- Implements timely surveillance and monitoring of buyer portfolio to ensure files are up-to-date and minimizes credit granting turnaround times.
- Analyses and comments on sector, market and portfolio developments.
- Consistently adheres to acceptable credit standards to ensure appropriate documentation, credit analysis and recommended decisions.
- Prepares credit material and presents recommendations to appropriate DOA.
- Proactively shares…
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