Global Markets In-business Market Risk
il y a 3 jours
The Global Markets In-Business Risk (IBR) is a newly established Front Office 1st Line of Defense team responsible for market risk across asset classes within Citi’s Global Markets division. The team is missioned to establish a holistic understanding of market risk and capital of the aggregated trading portfolio, as well as to optimize business’s return on capital. Global Markets IBR covers all trading businesses globally such as Rates and Currencies, Global Spread Products, Commodities, and Global Equities. The main focus of this role is a coverage of a cross-asset portfolio risks arising from markets business/trading activities in Paris branch and those booked on EU legal entities (post-Brexit). **Desk’s Key responsibility include**: - Identify key market risk within Markets’ trading inventory with consideration of key market themes and environments through data analysis. Communicate results daily with head of IBR and trading heads. Help design appropriate hedging strategy as needed. - Closely track performances of products within Global and European Markets on a regular basis, understand the drivers of market movements across different asset classes, analyze notable trends to form relative value and forward-looking view of material, concentration, and emerging risks. - Understand firm’s and appropriate legal entities risk appetite, limit, and capital framework to allow effective optimization and allocation of risk appetite. - Build front to back holistic understanding of risk and its implications on all attributions of capital, such as Stress losses, Value-at-Risk, etc. Support head of IBR and business heads to analyze their return on capital and risk appetite ratio. - Work closely with independent risk teams (2nd Line of Defense) in sizing appropriate risk limits for the overall business and legal entities as appropriate and monitor risk limit utilizations across businesses and legal entities - Strengthen risk monitoring, control, and governance process within the business and legal entities, assist with occasional regulatory questions and requirements. - Work with Technology / MQA to develop comprehensive risk monitoring framework to manage overall portfolio risk and capital utilization in a timely manner, propose optimization strategy. **Qualifications**: - Proven experience in a related role, such as Trading/Structuring/research or quantitative/data analysis, for which one of the focuses was centered on managing market risk. - Background and knowledge of Fixed Income and equity markets, and Fixed Income product structuring and trading are beneficial - Cross asset class product and market knowledge is important - Effective interpersonal skills to develop and maintain relationships with trading desks, independent risk, and technology teams - Consistently demonstrates clear and concise written and verbal communication - Exceptional analytical and numerical competency. Strong analytical / quantitative background. - Must have strong attention to detail, be self-motivated and inquisitive with an interest in financial markets and trading - Strong MS Excel, Bloomberg, Tableau, and problem-solving skills. Programing skills such as SQL and python is preferred. - Ability and strong interest to learn and understand various asset classes and associated risks **Education**: Bachelor’s degree or master’s degree. Preferably in Engineering, Statistics, or Finance. **Language**: preferably bilingual (French and English), but not a requirement - **Job Family Group**: Risk Management - **Job Family**: Market Risk - **Time Type**: Full time - Citi is an equal opportunity and affirmative action employer. Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran. View the "**EEO is the Law**" poster. View the **EEO is the Law Supplement**. View the **EEO Policy Statement**. View the **Pay Transparency Posting
-
Market Risk Manager
il y a 2 semaines
Paris, France HSBC Temps plein**Role Purpose**: Market Risk Management (MRM) function is responsible of the risk management of Paris based trading business lines. In this role the risk manager will be responsible for identification of key markets related risk issues for Paris activity setting market risk limits, reviewing new products, assisting with key regulatory initiatives, managing...
-
Market Risk Manager
il y a 7 jours
Paris, France Citi Temps pleinAre you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analysis, problem solving and communication to Citi’s Risk Management function. By Joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsibly providing...
-
Murex Market Risk Consultant
il y a 6 jours
Paris, France Upskills Temps pleinUpskills provides expert financial software consulting for investment banks and leading financial institutions in Asia Pacific, Middle East and Europe region. With a strong front‑to‑back expertise of the cash and derivatives markets, coupled with an in‑depth knowledge of financial markets technologies, we provide smart, business‑wise and efficient...
-
Junior Business Analyst in Market Risk
il y a 3 jours
Paris, France Murex Temps pleinJob ID: 41296- Location: PARIS (FRA)Murex, l’un des plus grands éditeurs de logiciels français, développe la plateforme de référence pour les marchés de capitaux. Depuis plus de 35 ans nous éditons des solutions logicielles pour le trading, la gestion de risque et la trésorerie. Aujourd’hui, ce sont 2 400 experts de plus de 60 nationalités...
-
Senior Market Risk Lead Frontier Markets
il y a 1 semaine
Paris, France Asian Infrastructure Investment Bank Temps pleinA multilateral development bank is seeking a Market Risk Officer in Paris to analyze and manage market risk. Key responsibilities include monitoring risk metrics, developing risk management frameworks, and ensuring compliance with approved limits. Ideal candidates will have 5-8 years of market risk experience in financial institutions and a Master's degree...
-
Global Markets Division, Ficc, Systematic Market
il y a 1 semaine
Paris, France Goldman Sachs Temps pleinOur core value is building strong relationships with our institutional clients, which include corporations, financial service providers, and fund managers. We help them buy and sell financial products on exchanges around the world, raise funding, and manage risk. This is a dynamic, entrepreneurial team with a passion for the markets, with individuals who...
-
Murex Market Risk Consultant
il y a 2 semaines
Paris, Île-de-France Upskills Temps pleinUpskills provides expert financial software consulting for investment banks and leading financial institutions in Asia Pacific, Middle East and Europe region. With a strong, Front to Back expertise of the cash and derivatives markets, coupled with an in-deep knowledge of financial markets technologies, we provide smart, business-wise and efficient solutions...
-
Market Risk Project Manager
il y a 1 semaine
Paris, France Natixis Temps plein**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...
-
Murex Market Risk Consultant
il y a 6 jours
Paris, France Upskills Temps pleinJob Description Upskills provides expert financial software consulting for investment banks and leading financial institutions in Asia Pacific, Middle East and Europe region. With a strong, Front to Back expertise of the cash and derivatives markets, coupled with an in-deep knowledge of financial markets technologies, we provide smart, business-wise and...
-
Senior Market Risk consultant
il y a 2 semaines
Paris, Île-de-France Murex Temps pleinMurex 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...