Job Description:
* Risk reporting and reviews for SG ASIA senior management and other bodies
* Execute Market Risk regulatory examinations and projects
* Extract relevant information from periodic reporting to detect trends or assist in performing a cross-asset control
* Develop key tools to produce metrics links to overshoot statistics, limits in place, transversal graphs and overall risk metrics deployed at ASIA level
* Contribute actively to key transversal topics such as income attribution, independent price verification, VaR Back-testing summaries, and troubleshooting
* Second level follow up on market and counterparty risk exposure, specific, crossed risk studies on market and CCR exposure
Candidate Requirements:
* Hold a relevant Bachelors or Masters degree in Finance, Engineering or similar
* Strong skills in computing: especially on dashboarding solutions, data processing, and statistical modeling
* Strong knowledge of the market and the instruments of the business line oversee
* Understanding of capital market, and in particular the strategies and products
* Understanding of valuation and risk of Equity, Fixed Income and derivatives products
* Pro-active, swift, analytical, rigorous, able to multi task and work under pressure, team player
* Good communication and organizational skills
* Fluent English is mandatory
This is a fixed term 12 month Trainee contract with Societe Generale. You will form part of the team on a full time basis. In order to apply for the Trainee position please ensure you have completed your qualification and will be available to work full time for the duration of the Trainee contract
Source: | Company website |
Posted on: | 04 Aug 2022 |
Type of job: | Internship |
Industry: | Banking / Finance |
Languages: | English |
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