Risk and P&L Analyst - 12-month fixed-term contract

Faites partie des premiers candidats.
Natixis NY Branch
Paris
EUR 45 000 - 75 000
Faites partie des premiers candidats.
Il y a 6 jours
Description du poste

Risk and P&L Analyst - 12-month fixed-term contract

  • Fixed Term Contract
  • 16757
  • Paris

Company Description

Natixis Corporate & Investment Banking is a leading global financial institution that provides advisory, investment banking, financing, corporate banking and capital markets services to corporations, financial institutions, financial sponsors and sovereign and supranational organizations worldwide.

Our teams of experts in close to 30 countries advise clients on their strategic development, helping them to grow and transform their businesses, and maximize their positive impact. Natixis CIB is committed to aligning its financing portfolio with a carbon neutrality path by 2050 while helping its clients reduce the environmental impact of their business.

As part of Groupe BPCE, the second largest banking group in France through the Banque Populaire and Caisse d’Epargne retail networks, Natixis CIB benefits from the Group’s financial strength and solid financial ratings (Standard & Poor's: A+, Moody's: A1, Fitch Ratings: A+, R&I: A+).

Job Description

You are joining our Contrôle Certification & Analysis (CCA) team FX Rates within the Market & Counterparty Risk (MCR) department as Risk Analyst in charge of monitoring risk indicators and PnL on Forex and Rates trading desks.

Your daily mission is to:

  • Provide validation, monitoring and daily analysis of market risk indicators and P&L for responsible mandates.
  • Produce and analyze fair value adjustments.
  • Distribute risk and P&L reports to front office teams and management.
  • Perform ad hoc analyses on demand for the Front Office or management.
  • Create a relationship of trust with the Front Office, Finance, IT and other Market Risk teams while developing analytical tools.

You work in an international environment, within a community of experts that places excellence, impact and collective action at the heart of everything it does.

This position is based in Paris with the opportunity to work from home.

As a top employer, we place our employees at the centre of our attention. Internal mobility, career development and training allow you to grow and flourish throughout your career.

You work in a hybrid, inclusive and collaborative working environment.

You also have the opportunity to commit yourself to society and causes that are close to your heart through our corporate foundation.

Required Skills/Qualifications/Experience

About you: If you recognize yourself in the following description, you are made to work with us!
With a higher education, you have at least three years of experience in an environment close to the financial markets.

You are proficient:

  • Financial instruments and front office systems;
  • Issues related to market risks (sensitivity, VaR), finance (valuation, reserves, day one);
  • Valuable financial mathematics and regulatory knowledge;
  • VBA programming languages.

The mastery of Python is a plus.

You have an excellent relationship, a very good listening ability, you are:

  • Appreciated for your assertiveness, which is crucial in your interactions with traders;
  • Recognized for your collaborative, synthesis, writing and presentation skills.

You master English with a C1 level.

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