Counterparty Risk Manager, Associate Director

il y a 3 jours


Paris, France HSBC Temps plein

-Description de l'emploi **Department profile**: Traded Risk is a thriving expert traded risk management function. The three teams actively lead a varied and dynamic range of risk types including market, liquidity and counterparty risks. This department acts as a second line of defense and is in direct relation with market actors and the senior management of HSBC Continental Europe. The work environment is that of a trading room with a strong relation between functions and is immersed of a dense regulatory context for which the service is regularly requested. **Missions**: The Traded Counterparty Risk Manager (TCRM) is responsible for monitoring the counterparty risk for the entire scope of HSBC Continental Europe and for reviewing the associated limits. In this role, you will: - Define the risk appetite for its scope according to that of the HSBC Group and that of HSBC Continental Europe. - Monitor market positions with regard to market conditions. Escalate positions that are not in line with the bank's counterparty risk appetite on its perimeter. - Review new products, study their impact in terms of counterparty risks and ensure that risks are properly apprehended. - Ensure the regulatory work associated with the various regulatory requirements (ECB & PRA, ad hoc requests, French Banking Law, Volcker Rule). - Participate to counterparty credit risk modelling evolutions. - Communicate in a synthetic way to specific and/or specific market situations potentially affecting the bank's results. - Maintain a dialogue of quality and demanding with the interlocutors of the Front Office mainly but also with other support functions (Valuation Control / Model Review, Group Risk Analytics...) - Comply with all HSBC Internal Policies ("Global Standards") in their daily work. Conditions **Your profile**: - Higher education (bac + 5) major engineering school or university. - Mastery of IT tools (Excel, Access, VBA). - Fluent English (written and oral). - Significant professional experience in managing market risk (minimum 5 years) and / or financial market expertise. - Good adaptability and anticipation.



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