Capital Market _business Analyst Alm Treasury - H/f

Talan

Paris, IDF, France
Not specified; benefits: 100€ equipment allowance;...
On-site
Alm (asset liability management) knowledge
Liquidity risk management expertise
Sql proficiency
The role involves participating in the evolution of systems managing liquidity, interest rate, and exchange rate risks for an investment bank

Job Summary

  • The role involves participating in the evolution of systems managing liquidity, interest rate, and exchange rate risks for an investment bank.
  • Responsibilities include defining requirements, planning projects, writing functional specifications, and leading user adoption.
  • The company offers a comprehensive benefits package including remote work options, employee stock ownership, and extensive training programs.

Matching Summary

The role involves participating in the evolution of systems managing liquidity, interest rate, and exchange rate risks for an investment bank.

Salary

Not specified; Benefits: 100€ equipment allowance; 50% transport subsidy; Meal tickets; Holiday bonus

Skills & Requirements

Must-have

  • ALM (Asset Liability Management) knowledge
  • Liquidity risk management expertise
  • SQL proficiency
  • Financial product valuation skills
  • Functional specification writing

Nice-to-have

  • Strong organizational and adaptation skills
  • Teamwork and initiative spirit
  • Flexibility and creativity
  • Change management experience

Key Requirements

  • Bac+5 degree (Engineering, Business School, or Master)
  • Advanced English language skills
  • Knowledge of treasury management and hedging

Work Rights

Not specified

Tailored Resume

Cover Letter