GSF and Treasury Market Risk Analyst (F/H) - 7-month fixed-term contract
Job Description
The Market Risk department oversees all risk, P&L and liquidity indicators for Natixis' market activities.
Within Market Risk, you join the Market and Counterparty Risk Control Certification Analysis GSF and Treasury team as an analyst.
On a daily basis, you are responsible for:
You work in an international environment, in a community of experts that puts excellence, impact and collective action at the heart of everything it does. #TransformativeFinance This position is based in Paris, with the ability to work remotely. As a Top Employer, we put our people first. Internal mobility, career development and training programs allow you to grow and thrive throughout your career. You work in a hybrid, inclusive and collaborative work environment. You also have the opportunity to make a commitment to society and the causes that matter to you through our corporate foundation. About the recruitment process You will be contacted by one of our recruiters before meeting our business experts (manager, team member or business line member). Automatic translation
Required Skills/Qualifications/Experience
About you: If you recognize yourself in the following description, you are made to work with us!
You have at least 3 years of experience in a similar position (product control group, risk management, risk management).
You are familiar with:
• Financial instruments;
• Methodologies for calculating market risk indicators and P&L;
• Excel (cross tables, data cube, extractions, reprocessing large files, using financial functions, VBA);
• Ideally, Sophis and Summit front office booking systems;
• Ideally, SQL.
You have an excellent relationship, a very good listening ability, you are:
• Good communicator and assertive;
• Excellent analytical skills;
• Motivated by teamwork and able to engage on sensitive and urgent topics.
You master English with a B2 level.
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