Risk Management
The management of risk is a fundamental element of CIBC's objective of consistent and sustainable performance over the long term. To support that goal, CIBC's Risk Management group performs several critical activities including:
- Monitoring, measuring and controlling the credit, investment, market, operational, liquidity, reputation and legal risks to CIBC
- Managing capital and allocating resources towards activities with higher return and strategic growth
- Implementing the Basel II Accord
Positions typically recruited for Risk Management include:
- Market Risk Managers/Analysts
- Credit Portfolio Risk Specialists/Analyst/Managers
- Adjudicators
- Credit Modeling/Risk Quantification Specialists
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