This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
You will join Crédit Agricole CIB Americas as a P&L Analyst. You will be part of the Risk and Permanent Control department, who manages and controls all the risks of the Crédit Agricole CIB group.
Job Responsibility:
Validate and maintain, independently from Front Office, end of day market data
Verify position reconciliations from Back Office
Produce a daily P&L for all local Credit Agricole CIB's NY Repo books
Perform a P&L Attribution Analysis
Produce risk indicators, and more specifically: Sensitivities, Value at Risk, Fx Exposures
Control risk limits in liaison with Risk Management
Report P&L, Cash Balances and Risks to Front Office, Risk Management and Management
Participate to the PnL reconciliation process between MAM and Accounting on a daily basis
Requirements:
Postgraduate of a Master degree from an University, a Business or a Engineering School with a specialization in Finance, Mathematics or Financial Markets
A first experience in a Bank, Asset manager, Hedge Fund or Consultant in Finance
Ability to maintain VBA Macros and Python
Good knowledge of Financial Products, including Derivatives, both from a Risk and an Accounting perspective
Microsoft Office (including an excellent knowledge of Excel and Access)
Fluent in English and in French
Strong organizational skills
Good communication skills
Ability to work and interact effectively with the other Departments