Senior Market Risk Analyst
- by PIC
- Location Paris, Paris, France
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Salary
not disclosed
1058 days ago
Job Description:
The role:
- You will oversee the management of the processes which includes the day-to-day risk monitoring and reporting.
- Monitoring the risk exposures and ensuring the reports are regularly updated to identify exceptional risk exposure.
- Contribution and participation in projects: working groups, product specification, testing, ad-hoc analysis – as well as queries from other departments where an input is required from Risk Monitoring.
- Involvement in new product analysis, specifications and testing.
- Responding to queries from Clients and Internal stakeholders, as well as regular interaction with these stakeholders and other departments.
- Supporting member meetings and training.
Required skills and experience:
- Strong quantitative and numerical qualification applied to finance.
- Good theoretical knowledge of derivative products and general principals of option pricing, greeks and VaR..).
- Experience working in leading financial services organisations – Investment banking / Asset Management.
- Experience in Risk Database management: VBA or SQL / SAS.
- Strong knowledge of IT programming Python, R and SQL all appreciated.
- Strong verbal and written communication skills in English and French, ideally within a global organisation.
Please send your CV ASAP as this is a contract position so is likely to move fast.
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Job Type
Contract, Full Time
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Work Authorisation
United Kingdom
- Industry Sector Banking