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Senior Manager, Portfolio Governance and Controls

TORONTO, Ontario, Canada💼 Full-time🗓 2026-08-12 → 2026-09-27

Core

Design and execute quality assurance programs and risk frameworks to ensure robust oversight, regulatory compliance, and standardized methodologies for Technology & Operations (T&O) investment portfolios.

Role type

Senior Manager, Portfolio Governance and Controls

Builds

Enterprise risk frameworks, governance forums, automated monitoring solutions, and executive reporting mechanisms for investment initiatives.

Domain

Banking / Financial Services / Risk Management & Portfolio Governance

Deliverable

production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work

Required skills

Portfolio management principles, risk management frameworks, regulatory compliance, process automation, cross-functional leadership, stakeholder management, data analytics, project management systems (Planview), advanced Excel

Preferred skills

Banking industry experience, regulatory frameworks (OSFI, IIROC, CSA), Six Sigma, Lean, Kaizen

Technologies

Planview, Excel

Responsibilities

Lead development of project and portfolio management risk domains and operating models; Design and execute comprehensive quality assurance frameworks for T&O project delivery; Partner with Enterprise Risk Management to integrate portfolio risks into enterprise frameworks; Develop risk assessment methodologies for projects and portfolio concentrations; Create and maintain compliance monitoring programs for policy and regulatory requirements; Facilitate cross-pillar governance committees and decision-making forums; Lead transformation initiatives to automate governance processes and implement technology solutions for portfolio monitoring.

Seniority

Senior Manager, hands-on leadership with strategic oversight

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