Job Description
🚨 NEW CONTRACT OPPORTUNITY – Product Control / Financial Analyst (Capital Markets) 🚨
📍 Toronto, ON (Hybrid – 3 days onsite)
📅 6-Month Contract (Strong chance of extension / conversion to FTE)
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We’re hiring a Senior Financial Analyst to join a high-impact Product Control team supporting Commodities (Energy & Metals) and FX trading desks within a leading Canadian bank.
This is a fantastic opportunity to work closely with front office, gain exposure to derivatives & risk, and play a key role in P&L reporting, controls, and financial analysis.
🔍 What You’ll Be Doing
• Own daily/weekly/monthly P&L reporting & balance sheet analysis
• Perform risk-based P&L attribution and investigate variances vs front office estimates
• Ensure financial records comply with IFRS and regulatory standards
• Partner with trading desks to understand risk exposure & trading performance
• Identify and implement process improvements & automation opportunities
• Strengthen controls, reporting accuracy, and operational efficiency
• Contribute to a high-performance, collaborative team environment
✅ Must-Have Experience
• 8+ years as a Financial Analyst (Capital Markets preferred)
• Strong understanding of accounting + mark-to-market (MTM) concepts
• Experience with derivatives, lending, or inventory products
• Advanced Excel skills (critical)
⭐ Nice-to-Have
• Exposure to regulatory/bank reporting
• Power BI
• Excel VBA
• UNIX
💡 What Makes This Role Stand Out
• Direct exposure to Commodities & FX trading desks
• Strong learning curve in risk, derivatives, and product control
• High visibility role with front office + senior stakeholders
• Potential to convert into a full-time opportunity
📩 Interested?
Send your resume with the subject line: “Product Control – Financial Analyst” at garyv@corgta.com
🚫 No third-party agencies
