LB

Laurentian Bank

Verified Job Source

Montréal, Québec

Banking
1,001–5,000 people

About

Founded in Montreal in 1846, Laurentian Bank is committed to serving its customers and fostering deep relationships with specialized groups. Laurentian Bank runs operations across Canada – primarily in Québec and Ontario – as well as in the United States and competes where it sees market opportunity and has an edge, while harnessing the power of partnerships and collaboration.

Open positions

Senior Analyst, Asset and Liability Management

Hybrid · Montréal

The role focuses on managing interest rate risk exposure and producing detailed risk reports and NII forecasts. The analyst is responsible for developing automated reporting tools and maintaining transfer pricing models for loans and deposits.

Analyst, Capital Markets

Hybrid · Montréal

The analyst will support the Chief Economist by monitoring economic and financial conditions and conducting in-depth research on fixed income markets. They will also develop economic scenarios, forecasts, and reports to support debt issuance and financing activities.

Analyste senior, gestion actif passif

Hybrid · Montréal

The role focuses on modeling interest rate risk, producing detailed risk reports, and maintaining transfer pricing models for loans and deposits. It involves forecasting Net Interest Income, conducting stress tests, and collaborating with finance and risk teams to ensure strategic balance sheet management.

Analyste, Marchés des capitaux

Hybrid · Montréal

The analyst will monitor economic conditions and financial markets to support Debt Capital Markets activities. Responsibilities include conducting research on fixed income securities, developing economic forecasts, and creating presentations for the Chief Economist.

Analyste, Quantification et Surveillance du Portefeuille de Crédit

Hybrid · Toronto

The analyst is responsible for producing and analyzing credit portfolio performance dashboards and interpreting data to explain variances. They also collaborate with governance teams on data quality analysis and assist in migrating publications to a new data model.

Trader, Repo

Hybrid · Toronto

The incumbent is responsible for negotiating and managing repurchase agreement transactions to optimize funding, liquidity, and balance sheet utilization. They collaborate with Treasury, Risk Management, and Operations teams to monitor collateral and ensure regulatory compliance.

Negociateur, Repo

Hybrid · Toronto

The role is responsible for negotiating and managing Repo and Reverse Repo operations to optimize liquidity and funding for fixed income inventories. It involves collaborating with treasury and risk teams to monitor liquidity ratios, collateral, and counterparty exposures.

Trader, Fixed Income

Hybrid · Montréal

The incumbent manages the distribution and trading of government bonds to ensure market liquidity and meet client needs. They are responsible for analyzing investment opportunities, executing transactions, and monitoring risks to protect capital.

Negociateur, Revenu Fixe

Hybrid · Montréal

Manage the distribution and trading of government bonds while ensuring liquidity and meeting client needs. Analyze investment opportunities and monitor inventory risks to protect capital and generate profits.

Trader, "repo"

Hybrid · Montréal

The incumbent is responsible for negotiating and managing repurchase agreement transactions to optimize funding, liquidity, and balance sheet utilization. They collaborate with Treasury, Risk Management, and Operations teams to monitor collateral and ensure regulatory compliance.

Négociateur, "repo"

Hybrid · Montréal

Responsible for negotiating and managing Repo and Reverse Repo operations to optimize liquidity and funding for fixed income securities inventories. Collaborates with treasury, risk management, and operations teams to monitor liquidity ratios and ensure regulatory compliance.

Negociateur, "repo"

Hybrid · Montréal

Responsible for negotiating and managing Repo and Reverse Repo operations to ensure efficient funding of fixed-income inventories and liquidity optimization. Collaborates with treasury, risk management, and operations teams to monitor liquidity ratios and collateral exposure.

Senior Analyst, Entitlements, Privileges and Corporate Actions

Hybrid · Toronto

Manage daily operational activities for corporate actions, entitlements, and income processing across all business lines. Act as a subject matter expert to develop procedures, oversee the Dividend Reinvestment Program, and provide technical support to the team.

Analyste Senior, Droits, privilèges et évènements de marché

Hybrid · Toronto

Responsible for the daily operational processing of corporate actions, including dividends, interest, and market events for all business lines. Acts as a subject matter expert to update procedures, support team members with complex files, and optimize operational processes.

Representative, Institutional Sales, Fixed Income

Hybrid · Montréal

Manage a portfolio of institutional fixed income clients to expand primary distribution and secondary trading. Coordinate with internal teams to develop trade ideas and monetize cross-selling opportunities in FX and equities.

Représentant, ventes institutionnelles, revenu fixe

Hybrid · Montréal

The role involves managing a portfolio of institutional clients and distributing fixed-income securities, including provincial bonds and mortgage-backed securities. The representative will develop business relationships, coordinate with capital markets teams, and identify cross-selling opportunities for FX and institutional equities.

Représentant, ventes institutionnelles, revenu fix

Hybrid · Montréal

Provide fixed income security distribution services to national institutional investors and manage a client portfolio focusing on rates and provincial bonds. Maintain strong business relationships to increase placement operations in primary and secondary markets while coordinating with capital markets teams.

Analyst, Market risk

Hybrid · Toronto

The Analyst performs daily market risk analyses and valuations for Treasury and Capital Markets products. They are responsible for gathering market data, developing monitoring models, and improving risk control processes to ensure bank profitability.

Analyste, Risque de marché

Hybrid · Toronto

The role involves producing daily market risk measures and valuations for Treasury and Capital Markets products. It also includes developing monitoring models, analyzing market data for quality assurance, and collaborating on projects to improve bank profitability.