Jonathan Allenger
About Jonathan Allenger
Jonathan Allenger is a Senior Director at CIBC in Toronto, Ontario, Canada, with extensive experience in capital markets, risk management, and corporate banking.
Company
Jonathan Allenger is currently working at CIBC in Toronto, Ontario, Canada. He has held multiple roles within the organization, progressing from Associate roles to his current position as Senior Director. His work at CIBC has spanned various responsibilities in corporate banking, capital markets, and operational risk.
Title
Jonathan Allenger holds the title of Senior Director at CIBC. His responsibilities encompass overseeing significant operational risk aspects in capital markets. Before becoming a Senior Director, he served in other pivotal roles, including Director of Capital Markets Operational Risk and Director of Portfolio Management in Corporate Banking.
Education and Expertise
Jonathan Allenger earned his MBA in Investment Management from Concordia University, attending from 2008 to 2010. He also holds a B. Commerce degree in Finance and International Business from Carleton University, completed between 2002 and 2007. Furthermore, he has held the CFA Charter since 2010, underpinning his expertise in finance and investment management.
Background
Jonathan Allenger's professional journey began at Jarislowsky Fraser Limited, where he spent one year each as a Portfolio Administrator and Junior Analyst from 2007 to 2009 in Montreal, Canada. He transitioned to CIBC in 2010, holding various roles such as Associate in Corporate Credit Products and Loan Syndications within Corporate Banking. By 2013, he had advanced to directorial positions in areas including Financial Institutions and Public Sector within Corporate Banking.
Achievements
Jonathan Allenger has accumulated over five years of experience in capital markets at CIBC and over three years of experience in risk management. His CFA Charter, held since 2010, affirms his advanced proficiency in finance and investment. His roles at CIBC have seen him navigate and manage significant portfolios and operational risk, reflecting his capability and expertise in the financial sector.