End-of-studies Internship

Il y a 3 mois


Paris, France Murex Temps plein

Murex is a global fintech leader in trading, risk management and processing solutions for capital markets.

Operating from our 19 offices, 3 000 Murexians from over 60 different nationalities ensure the development, implementation and support of our platform which is used by banks, asset managers, corporations and utilities, across the world.

Join Murex and work on the challenges of an industry at the forefront of innovation and thrive in a people-centric environment.

You’ll be part of one global team where you can learn fast and stay true to yourself.
- L’équipeAu sein de la division produit de Murex, l’équipe de consultants PES Trading Equity (Product Evolution & Services) centralise l’expertise sur le module de trading et de valorisation des produits dérivés action. Elle a pour missions de supporter, faire évoluer et standardiser la solution logicielle proposée à ses clients. En particulier :L’équipe enrichit et améliore le catalogue de produits financiers disponibles pour les clients, ainsi que leurs modèles d’évaluation, pour suivre les besoins du marché.-
- L’équipe s’occupe du Product management de divers outils comme les outils de pricing, de gestion de position et de simulation des risques.-
- Parmi ces outils, figure un outil de construction de la surface de volatilité aujourd’hui intégré dans la plate-forme MX.3.Vos missionsAprès une phase de formation sur les solutions Murex Trading Equity, vous serez amené à travailler sur le sujet suivant : mise en place d’une alternative au process de construction des surfaces de volatilités pour les dérivés Equity.La construction de la surface de volatilité est un process important pour les clients Equity afin de permettre une bonne évaluation des portefeuilles vanilles et exotiques.- Une solution intégrée dans les écrans Mx.3 existe, Murex souhaiterait revoit cette fonctionnalité afin d’offrir plus de flexibilité et d’ouverture pour mieux s’intégrer aux écosystèmes IT présents chez nos clients.Ce process concerne jusqu’à quelques centaines de sous-jacents et est effectué quelques fois par jour.- Il consiste à construire une surface de volatilité en ligne avec le marché des options listées, au moyen éventuel de méthodes paramétriques (SVI par exemple, ou autre).- L’objectif du stage sera d’évaluer un nouveau processus de construction de volatilités sur différents aspects fonctionnels et techniques.En détail :- Comprendre les différentes interfaces nécessaires en particulier les différentes APIs disponibles dans MX.3 (market data, pricing).-
- Mettre en place un outil s’appuyant sur ces interfaces afin de récupérer les données nécessaires, « calculer » la volatilité implicite des options listées, éventuellement calibrer un modèle paramétrique et ré-injecter les données obtenues dans MX.3.-
- Cet outil nécessitera l’emploi de code Python et la mise en place d’un écran utilisateur qui pourra être un Jupyter notebook ou une feuille Excel.-
- L’évaluation de ce processus comprendra des aspects fonctionnels et techniques.-
- Parmi les aspects techniques, est inclue une évaluation de tenue à la charge de cet outil (performance obtenue avec un grand nombre de sous-jacents).-
- Le stage pourra inclure, en fonction de la vitesse d’avancement, une présentation à un ou plusieurs clients clés afin de voir si le type de solution correspond à leurs attentes sur le sujet.-
- Proposer des conclusions et formuler des idées d’amélioration notamment en ce qui concerne les différentes API utilisées en vue de faciliter une utilisation en production chez des clients.Votre profil-
Etudiant(e) en 3ème année d’école d’ingénieurs, ou troisième cycle universitaire, en recherche d’un stage de fin d’études d’une durée de 6 mois-
- Une spécialisation en finance de marché serait un plus-
- Connaissances en programmation type Python-
- Capacité d’apprentissage rapide-
- Sens aigu de l’analyse et problem-solving, aisance dans les problématiques mathématiques-
- Rigueur, précision-
- Esprit d’équipe et collaboratif (environnement agile)-
- Force de proposition et d’initiative-
- Appétit pour le product management-
- Anglais courant- Début et durée du stage- Entre janvier et mai 2025, durant 6 mois- Pourquoi nous rejoindre ?-
- Faire partie d’une communauté d’experts motivés par le challenge, l’innovation, et contribuer ainsi à l’amélioration continue de la plateforme MX.3.-
- Bénéficier d’une formation de qualité à l’entrée et pendant toute sa carrière professionnelle.-
- Evoluer dans un environnement Agile (méthodologie SAFE), international, multiculturel (une trentaine de nationalités à Paris) et en croissance continue.


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