Job & Education in Quantitative/IT Finance and Math.   Recruiters : Place your Job & Internship ads

Home


Find a Job

Engineer,MSc,PhD
Post your resume
(internship & job)


Jobs & Internships
Finance & Maths


Top ads

Join us on Linked in

Maths-Fi Recruiters

Maths-Fi Job search


Recruiters

Browse our CV Database!

Log in your account

Accédez à la CVthèque Maths-Fi !
Posting Job Offers

Advertising on Maths-fi.com

Maths-Fi Partners


Resources

Directories

MSc Directory

Maths Bookstore

Journal & Reviews
Finance & Maths


Software Seminar
Finance & Maths


Pro Orgs
Finance & Maths


Societies
Finance & Maths


Internet Resources
Finance & Maths






All our
Job and Internship
Opportunities
in Finance & Maths

CVs/Resumes (Engineer, MSc, PhD)
in Finance & Maths

    Last Update : 25/05/2012   

 
Partager cette information : Twitter Facebook Linkedin


Senior Risk Control - Paris





Salary – 60,00€ + - Dependent on Experience

Due to the expansion of the trading and portfolio management groups in Europe, there is a new demand in the risk function for a control analyst. They are looking for an experienced analyst to come in a hit the ground running in what is one of the largest commodity firms in Paris. Fluency in French and English is a must.

If you are looking to work in a top team in one of the world Top Commodities firms apply by email (resume and cover letters in word format)

The Role

-Control Credit risk relating to investment activities, foreign exchange and interest rates
-Monitoring of credit risk of counterparties
-Monitoring the implementation of risk policies and their compliance with Group policies on investments, foreign exchange and fixed income and credit
-Active participation in the work of producing weekly (control of margin calls in particular) and monthly (valuation of derivatives and efficacy tests IFRS when accounting including fences) reports
-Preparation of the Energy Market Risk Committees for records management
-Control of the second level of the regulated activity of trading.
-Participation in the annual review of the credit methodology, including the internal rating tool

Ideal Candidate

-University Degree in Mathematical/Financial Subject
-Fluency in English AND French
-Experience within Risk/Credit Risk/Market Risk/Risk Control
-Knowledge within Commodities, FX, Fixed Income, Credit
-This job requires a great capacity for persuasion and resistance to stress, requiring a strong personal involvement - It is based on both corporate environments and trading rooms-intensive response.

Applications by email (word format)

Répondre à cette annonce par email.
Merci de faire parvenir votre cv et de ne pas modifier les mentions concernant la provenance de l'annonce.
 

NEWSLETTER


Version française




Made in

- About us - Legal mentions - Suggestions - Contact us - -
- Club : club.maths-fi.com
- Master Finance - Classement Master Finance - MS Finance de Marché - Mastere Finance de Marché


Ce site a fait l'objet d'une déclaration à la CNIL enregistrée sous le numéro 1058425.
Conformément à l'article 34 de la Loi "Informatique et Libertés" n°78-17 du 6 janvier 1978, vous disposez d'un droit d'accès, de modification, de rectification et de suppression des données qui vous concernent. Vous pouvez l'exercer en nous contactant à ou par téléphone au 0892-680-134 (0,34 E/min).