Counterparty and Credit Metrics Team Manager

1 semana atrás


Lisboa, Portugal BNP Paribas Tempo inteiro

COUNTERPARTY AND CREDIT METRICS TEAM MANAGER (JOB NUMBER: 2302RSK14223)

**About the job**
- The mission of RISK Market & Financial Institutions (“RISK MFI”) is to provide the Senior Management of the Group, of the RISK Function and of Global Markets (“GM”) and of BP2S with full transparency and dynamic analysis and monitoring of market, counterparty, valuation and liquidity risks originated and managed by CIB and of credit risks on Financial Institutions in order to assist them in their risk decision making and monitoring
- The mission of RISK MFI Platform is to support the monitoring of the risks above mentioned
- Monitoring within Platform ensures the regular review, monitoring and reporting of market, counterparty, liquidity credit and capital metrics, sensitivities, Stress Tests and escalation of excesses. The team has a major role in data quality monitoring, in liaison with other stakeholders within and outside RISK MFI
- Within this stream, RISK MFI Counterparty Risk Metrics reports, monitors and pre-analyses the credit and counterparty risk exposures generated by the various business lines of BNP Paribas

**Your Main Activities Are**
- The CCM Team Manager is based in Lisbon. They have a local hierarchical reporting line to the Head of RISK MFI Portugal and a functional reporting line to the Head of CCM centrally in order to ensure the right level of global continuity and support for the teams
- The mandate covers both teams in CCM: Exposure Monitoring as well as Production and Activity Monitoring
- The monitoring, investigation and escalation of Potential Future Exposure and Maximum Daily Delivery Risk exposures and excesses including Trader Marketer Violation issuance if needed
- The correct exposure representations in the official systems and the escalation of data quality issues in close collaboration with the Monitoring data integrity team
- The support to Global Markets or Securities Services in their simulation of Financial Exposure for new trades
- The monitoring of exposures related to Hedge Fund and the monitoring of guidelines used notably for Stress Testing
- Supporting the collateral management and the investigations of disputed and margin calls investigations
- Contributing to regular collateral management forums
- The production, review and reporting of exposures on CCPS
- The regular transversal portfolio analysis on clients, sectors or regions in collaboration with Credit Officers
- The frequent monitoring, adjustments and sign-off of the counterparty risk EEPE figures production
- Proposing initiatives to automate and harmonise calculation, analysis and reporting tasks and implement them
- Contributing to specific transversal projects related to new regulatory metrics, the monitoring of new risk management metrics or new capital metrics
- The closure of any supervisory recommendations attached to the scope under responsibility
- In addition, the Team Manager is responsible to:

- Empower and motivate their team members to advance employee engagement and develop performance
- Organise and staff the teams adequately with a diverse level of experience and skills
- Actively contribute to the personal and professional development of the staff under responsibility in Portugal
- Build trustful relationships with key partners in RISK CIB as well as with Business lines such as FIC ICAT, Global Markets or Securities and Services. Act as a point of contact for important stakeholders
- Thrive to complete objectives assigned by their management and efficiently allocate responsibilities within the teams
- Manage team projects regularly discussing and providing an overview of progress with other team Managers of RISK MFI Monitoring or within RISK MFI Platform
- Demonstrate proactivity, transparency and accountability for identifying and managing conduct risks
- Take responsibility for the team’s conduct and conduct risks
- Consider the implications of own actions on colleagues, partners and clients before making decisions, and escalate issues to own manager when unsure
- Leverage feedback received and constructively challenge own responsibilities to seek continuous improvement
- Finally, the role allows to further develop the understanding of the market and counterparty risk management metrics and framework of BNP Paribas

**Profile and Skills to Success**
- Masters Degree in Maths/ Sciences/ Finance and/or Economics
- Between 10 and 15 years of relevant experience
- Fluent level of English, both written and oral
- Knowledge in
- Office Pack - Excel and Powerpoint
- MRX / RISK Navigator and/or CAT
- Models and pricing tools - Financial Products
- Client focused
- Ability to collaborate / Teamwork
- Ability to deliver / Results driven
- Personal impact / Ability to influence
- Organisational skills
- Proactivity

LI-Hybrid

**Why joining BNP Paribas?**
- **Leading banking institution**

BNP Paribas is a leader in the Eurozone, and a prominent international banking institution with strong



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