12 Month Internship - Non Linear Market Risk Management
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Position Overview & Specifications
Description du poste
Key Responsibilities
- Validation of the risk indicators, computation of the official risk reports and notification of breaches on Global Cross Asset positions
- Involvement in the constant improvement of the market risk monitoring framework
- Analysis of the positions and computations of the stress scenarios
- Participation to the month end process (computation of reserves, Totem process)
- Strong involvement in regulatory projects
- Back-up of other analysts during leaves
- Relationship with Front-Office and Quantitative DRM team
Legal and Regulatory Responsibilities
- Excellent knowledge of Excel and VBA, Python
12 Months
Bac + 3 / L3
Graduate
Understanding of derivatives and their pricing; understanding of market risk measures and methodologies
Candidate Selection & Onboarding Process
Application & Resume Screening
Submit your tailored CV/Resume directly to the talent acquisition portal.
Technical & Competency Interviews
Virtual interviews with the hiring manager and multidisciplinary team.
Formal Offer & Benefits Negotiation
Written agreement outlining compensation, equity, retirement vesting, and relocation allowances.
Onboarding & Corporate Integration
Equipment provisioning, team orientation, and commencement of duties.
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