Liquidity Analyst

Il y a 3 mois


Paris, France SCOR Temps plein

The Collateral and Liquidity Analyst will report to the Senior Manager Liquidity and Collateral who in turn reports directly to the Group Treasurer. Group Treasury is an essential function within SCOR’s finance organization under the direction of the Group CFO.

Contribute to develop and maintain the Collateral and Liquidity management for SCOR SE and its main legal entities by optimizing their liquidity and collateral positions. Analyse at least on a quarterly basis the positions and participate in actions and projects to optimize it.

Letters of Credit is one of the main sources of collateral source used by SCOR entities. Participate in monitoring the Letters of Credit capacity and help the Senior Manager Liquidity to negotiate with banks the set-up of the Letters of Credit facilities.

Support risk management department on Collateral and Liquidity topics for internal risk committees and regulator requests.
- **Liquidity and Collateral Planning & Reporting**
- Produce key liquidity reports, including:

- Monthly “LFA” report
- Quarterly Liquidity risk section to GRC
- Monthly Liquidity memo to Group Treasurer
- Preparation of materials for Treasury Technical Committee, Group Technical Committee and Audit Committee
- Work with BUs and entities to define their collateral needs and updated forecasts
- Prepare quarterly reporting on collateral needs and sources
- **Collateral Management**
- Participate to actions to reduce collateral and actions to optimize the liquidity
- Identify and anticipate future Collateral needs (LOC, pledged assets)
- Define alert levels regarding Collateral requirements (LOC capacity, available assets)
- **Liquidity Risk Management**
- Organize and contribute to Liquidity Risk Analyses, including co-ordination of stress/sensitivity testing
- Contribute towards implementing and maintaining the Group Liquidity Risk Framework, including liquidity recovery plans
- Ensure Liquidity risks are identified, measured, monitored, reported and analyzed on a regular basis
- Prepare updates to Collateral Management policy, including socialization with Legal Entity and BU teams
- Monitor local changes in regulation and financial environment worldwide and impacts on SCOR collateral and liquidity requirements.
- Work with Regional/Local Treasurers to improve and optimize liquidity risk management
- **Banking relationships**
- Participate to LOCs capacity negotiation with banks
- Follow Financial Covenants to be included into LOC Facilities (compliance certificates for Banks)
- Support with overall management of banking relationships
- Work in collaboration with the Risk Department
- **Support to Group Treasurer team**
- Actively support wider team in projects and initiatives, particularly where there are Liquidity / collateral dimensions
- Prepare clear and self explanatory presentations to the attention of senior management

**Experience**:

- 1 year minimum of experience in Audit/Consulting as well as a background in Cash Management, Treasury, Finance and/or Liquidity Risk, preferably in an international environment. Preferred: Audit/Consulting methods, Industry knowledge of reinsurance business, experience working in global business environment.

Personal Competencies:

- Capable of adaptation and proactive, support change
- Able to handle and drive projects independently, define and respect deadlines
- Strong Ability to work on multiple work streams and phases simultaneously
- Being highly reliable and committed, autonomous and proactive
- Team player oriented, interacting with people across the company and externally
- Strong analytical and financial skills, capacity to think out of the box Strong communicator (internal/external), excellent verbal, written and presentation skills

Digital Competencies:

- Proficient in Microsoft Office mainly Excel and Powerpoint. experience with Sharepoint
- Experience or appetite for data modelling and data visualization (Power Query, Power BI, Tableau)
- Experience with treasury IT tools, Bloomberg, Swift banking communication can be an advantage
- Familiarity with SAP modules (including TRM) can be an advantage
- Interested by Artificial Intelligence capabilities

SCOR, the 4th largest reinsurer in the world, provides insurance companies with a diversified and innovative range of solutions and services to control and manage risk. Leveraging experience and expertise to deliver “The Art & Science of Risk”, SCOR provides cutting-edge financial solutions, analytics tools and services in all areas related to risk - from Life & Health and Property & Casualty insurance to Investments. Our specialized teams operate in over 160 countries, fostering long-term relationships with clients.

In order to provide our clients with a broad range of innovative reinsurance solutions, SCOR pursues an underwriting policy that is founded on profitability and supported by effective risk management strategy and a prudent investment policy. This approach allows us to offer



  • Paris, Île-de-France Caisse des Dépôts et Consignations Temps plein

    Job Title: Financial Analyst at Caisse des DépôtsMain Responsibilities:Oversee the financial strategy for the organizationEvaluate the solvency and liquidity position of the institutionManage risks associated with the balance sheetGenerate indicators related to liquidity and balance sheet performanceCandidate Profile:Master's degree in Finance or...


  • Paris, Île-de-France Groupe Caisse des Dépôts Temps plein

    Position OverviewAs a key member of the Financial Planning Division, you will take charge of orchestrating the long-term financial strategy for the organization. Your primary focus will be on managing the company's solvency, liquidity, and associated balance sheet risks while establishing a comprehensive framework for financial investments.Key...


  • Paris, Île-de-France Emérique & Partners Temps plein

    Position Title: Treasury Risk Management SpecialistAre you looking for a chance to apply your skills in Risk Management within the realms of IRRBB and Treasury operations? Join a distinguished international financial institution where you can participate in a variety of treasury-related functions.Position Overview:Evaluate and analyze treasury risk domains...


  • Paris, Île-de-France Groupe Caisse des Dépôts Temps plein

    Position OverviewAs a key member of the Financial Planning Division, you will take charge of orchestrating the long-term financial strategy for the organization. Your primary focus will be on managing the Group's solvency, liquidity, and balance sheet exposure, while establishing a comprehensive framework for financial investments.Key ResponsibilitiesDevelop...


  • Paris, Île-de-France Groupe Caisse des Dépôts Temps plein

    Position OverviewRole Summary: In this position, you will take charge of overseeing the financial planning initiatives within the organization, focusing on the management of solvency, liquidity, and balance sheet risks.Key Responsibilities:Coordinate the multi-year financial strategy for the Group.Manage and assess the Group's liquidity and solvency...


  • Paris, Île-de-France Hesperie Conseil Temps plein

    HESPERIE CONSEIL is a distinguished consulting firm specializing in Finance and Asset Management. We deliver premium services to financial institutions, including Investment Banks and Asset Managers, offering expertise in various domains such as Organizational Consulting, Business Analysis, Project Management, Quantitative Analysis, and Risk Management to...


  • Paris, Île-de-France Talan Temps plein

    Position OverviewTalan, a global consulting firm established in 2002, excels in technology-driven transformation and innovation. With a workforce of over 5000 consultants, we are committed to addressing complex challenges with a focus on excellence. Our areas of expertise encompass:Consulting in Management and Innovation (320 Consultants in France)Data...

  • Analyst Cash Management

    Il y a 4 mois


    Paris, France Digital Consulting Temps plein

    Pour un client, partenaire de référence des directions financières **Description de la mission** You will be based in Paris and report to the Head of Analyst Americas. As a junior analyst, you will be part of multiple project teams managed by an associate. You will on average get to work on 3-4 engagements for both domestic and international Redbridge...

  • Senior Business Analyst

    il y a 1 mois


    Paris, Île-de-France Lamarck Finance Temps plein

    Position Overview: Senior Business Analyst in ALM TreasuryWe are seeking a skilled Senior Business Analyst to enhance our team at Lamarck Finance. In this role, you will leverage your expertise in ALM Treasury to collaborate with clients in the financial services industry on a variety of initiatives focused on Asset Liability Management. Your key...

  • Senior Business Analyst

    il y a 1 mois


    Paris, Île-de-France Inetum Capital Market Temps plein

    Join our team as a Senior Business Analyst at Inetum Capital Market, where you will play a pivotal role in enhancing our Asset and Liability Management (ALM) capabilities. Your expertise will be crucial in collaborating with our IT project and maintenance teams, focusing on the Fermat ALM and Risk Authority software utilized in the ALM regulatory landscape...


  • Paris, Île-de-France Inetum Capital Market Temps plein

    Join Inetum Capital Market as a Senior Business Analyst in ALM. In this pivotal role, you will collaborate with the IT project and maintenance teams to enhance the Fermat ALM and Risk Authority (Moody's) software utilized in Asset and Liability Management. Your expertise will contribute significantly to the ALM regulatory domain and Basel 3 liquidity...

  • Senior Business Analyst

    il y a 1 mois


    Paris, Île-de-France Lamarck Finance Temps plein

    Position Overview: Senior Business Analyst in ALM TreasuryWe are seeking a skilled Senior Business Analyst to contribute to our initiatives at Lamarck Finance. In this role, you will leverage your expertise in ALM Treasury to collaborate with clients in the financial sector on a variety of projects focused on Asset Liability Management. Your key...

  • Analyst Cash Management

    Il y a 4 mois


    Paris, France Thomas Mazieres Temps plein

    **Description de la mission** The Analyst will be involved in every aspect of Redbridge advisory business : the review, analysis and implementation of recommended strategies accross all our expertise in addition to helping provide ongoing active advice. You will be based in Paris and report to the Head of Analyst Americas. As a junior analyst, you will be...


  • Paris, Île-de-France Inetum Capital Market Temps plein

    Join Inetum Capital Market as a Senior Business Analyst. In this pivotal role, you will collaborate with the IT project and maintenance teams to enhance the Fermat ALM and Risk Authority (Moody's) software utilized in Asset and Liability Management, focusing on ALM regulatory frameworks and Basel 3 liquidity requirements. You will thrive in an Agile setting...


  • Paris, Île-de-France Inetum Capital Market Temps plein

    Join our team as a Senior Business Analyst specializing in Asset and Liability Management (ALM) solutions at Inetum Capital Market. In this pivotal role, you will collaborate with our IT project and maintenance teams to enhance and support the Fermat ALM and Risk Authority (Moody's) software, focusing on the ALM regulatory landscape and Basel 3 liquidity...

  • Quantitative Analyst

    il y a 1 semaine


    Paris, Île-de-France NCAA (National Collegiate Athletic Association) Temps plein

    Job DescriptionJob Title: Quantitative Analyst - Investment BankingJob Summary:We are seeking a highly skilled Quantitative Analyst to join our Investment Banking team. As a Quantitative Analyst, you will be responsible for building and maintaining complex financial models, analyzing data, and providing insights to support business decisions.Key...


  • Paris, Île-de-France Caisse des Dépôts et Consignations Temps plein

    Job Title: Financial Analyst at Caisse des DépôtsMain Responsibilities:Oversee the financial forecasting for the organizationEvaluate the solvency and liquidity status of the organizationMitigate balance sheet exposure risksGenerate liquidity and balance sheet performance metricsCandidate Profile:Master's degree in Finance or BankingExceptional analytical...


  • Paris, Île-de-France Caisse des Dépôts et Consignations Temps plein

    Position: Financial Analyst at Caisse des Dépôts et ConsignationsKey Responsibilities:Oversee the financial strategy and planning for the organizationEvaluate the organization's liquidity and solvency statusMitigate balance sheet exposure risksGenerate key liquidity and balance sheet performance metricsCandidate Profile:Master's degree in Finance or...

  • Business Analyst

    il y a 3 jours


    Paris, Île-de-France Crédit Agricole Group Temps plein

    Main ResponsibilitiesWe are seeking a highly skilled Business Analyst - Payment Systems to join our team at Crédit Agricole Group. The ideal candidate will have a minimum of 3 years of experience in business analysis and testing of payment systems and core banking applications.Key Responsibilities:Develop and execute test plans for payment systems and core...

  • Senior Business Analyst

    il y a 1 mois


    Paris, Île-de-France Inetum Capital Market Temps plein

    Join our team as a Senior Business Analyst at Inetum Capital Market, where you will play a pivotal role in the development and maintenance of our Asset and Liability Management (ALM) systems. Your expertise will be essential in collaborating with the IT project and maintenance teams to enhance our ALM and Risk Authority software.Key Responsibilities:Analyze...