Manager, Repo & Corporate - Fixed Income Product Control - Finance

Scotiabank • Toronto, Ontario • Posted July 03, 2026

About the Role

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In this role you will:
  • Daily Profit and Loss (P&L) Reporting: Prepare and review daily P&L reports for repo and corporate products, ensuring accuracy and timeliness.

  • Balance Sheet Management: Monitor and analyze balance sheets associated with repo and corporate activities to ensure proper management of financial positions.

  • Valuation Controls: Implement robust valuation methodologies and controls to ensure the integrity of pricing for repo and corporate financial products.

  • Risk Management: Work closely with risk teams to identify, assess, and mitigate risks associated with trading and product strategies.

  • Regulatory Compliance: Maintain adherence to financial regulations and internal policies, ensuring compliance in all reporting and analysis activities.

  • Stakeholder Collaboration: Collaborate with trading desks, operations, risk, and accounting teams to provide insightful financial analy...