Model Risk Senior Analyst

5 meses atrás


Lisboa, Portugal BNP Paribas Tempo inteiro

**Purpose and Scope of the role**

The position is a Market Risk manager role within RISK Market & Financial Institutions (“RISK MFI”) dedicated to the Credit Flow business line of Global Market.

The Credit Flow trading desk mandate is about market-making corporate bonds, Credit Default Swaps (CDS) or Asset-Backed Securities (ABS).

RISK MFI provides the Senior Management of the Group, of the RISK Function and of Corporate & Institutional Banking (“CIB”) with full transparency and dynamic analysis and monitoring of market, counterparty, liquidity risks originated and managed by CIB GM and of credit risks on Financial Institutions to assist them in their risk decision making and monitoring.

The Market Risk manager acts as the point of contact for the business line and provides a holistic view of the market risk of the activity. The market risk manager anticipates, detects, analyses, and provides an opinion on the market risk and issuer risk of the activity notably through early detection and in-depth review of the hidden risks.

On top, they regularly challenge the monitoring, tooling, and framework in place to monitor the market risk of the activity. This can involve designing and running stress-testing on the trading book positions.

We are looking for a profile with one previous relevant experience who can rapidly develop an expertise into the Credit Flow activity and the market risk entails by it.

The role requires agility to onboard oneself onto new topics to support the analysis or monitoring conducted by other team members or stakeholders.

**Responsibilities of the Market Risk Senior Analyst role**
- Articulate the main market risk and formulate risk options to RISK Management.- Challenge and opinion on the information and views provided by the trading desks.- Understand the valuation, market risks and profit & loss of the trading desks under scope.- Animate weekly meeting with the trading desks about the market risk positioning providing an independent risk analysis and optionin.**Role Competencies**
- Ability to integrate information from diverse sources, often involving large amounts of information.- Motivation to collaborate and share ideas and knowledge with team members.- Understands clients’ needs and values constructive and positive feedback.- Ability to ensure the precision, accuracy and thoroughness of the information manipulated or delivered- Ability to manage time, to plan, structure, prioritize and coordinate activities and resources effectively to reach objectives- Active in suggesting ideas and improvements and demonstrating curiosity.**Skills, experience, and qualifications**
- Master’s degree in finance, Applied Mathematics, Science or Engineering.
2 to 5 years of working experience in market risk or counterparty risk with an applied
knowledge in derivatives and their risk management
Strong analytical capabilities
On programming skills, a working knowledge of Python is beneficial- #LI-Hybrid



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