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Services professionnels en analyse quantitative

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20157052Canada

Contract Overview

Solicitation details, issuing organization, response deadlines, documents, and interested companies for this government contract opportunity.

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The Autorité des marchés financiers is seeking a service provider to offer professional quantitative analysis support in evaluating and assessing changes to credit rating systems and credit risk models used by regulated financial institutions. The goal is to ensure the integrity and relevance of these frameworks in light of evolving market conditions and regulatory requirements. The contract is open through a public tender process with the solicitation number 20157052, posted on July 9, 2026, and responses must be submitted by August 4, 2026, at 7:00 PM. Performance of the services is to take place in Montreal, Capitale-Nationale, Quebec. The point of contact for inquiries is Jonathan Beaulieu, Contracting Authority, reachable via email at jonathan.beaulieu@lautorite.qc.ca or by phone at 418-525-0337. The procurement is categorized under federal government procurement and falls within the scope of professional quantitative services.

General Info

AMF seeks quantitative analysis services for credit risk models in Montreal, bid deadline August 4, 2026.

Agency

Government of Canada → Autorité des marchés financiers.View Agency

NAICS

541690 - Other Scientific and Technical Consulting ServicesView NAICS

Place of Performance

Montréal, Capitale-Nationale (Québec), CAN

Set-Aside

NONE

Documents

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No documents available

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Timeline

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Organization & Contact Information

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AgencyGovernment of Canada → Autorité des marchés financiers.
Contacts1 person available
OfficeN/A
Organization / Agency
Government of Canada → Autorité des marchés financiers.
View Agency Profile
Office AddressN/A
Contacts
Beaulieu JonathanContracting Authority

Full Description

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Par cet appel d’offres public, l’AMF désire retenir un Prestataire de services afin de l’accompagner dans l’analyse et l’évaluation des changements dans les systèmes de notations et les modèles du risque de crédit pour les institutions financières assujetties.

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