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A major financial institution in Paris is seeking a CVA / FVA Trader to join their XVA team in Global Markets. The role entails pricing new operations, providing profitability indicators, and producing risk and P&L analyses. Candidates should have at least 5 years of experience in trading or risk management, a strong educational background in finance or engineering, and be skilled in quantitative analysis and fast programming tools like Python. The position offers a hybrid work environment and a strong focus on employee development.
Job Description
You join the XVA team from Global Market as a CVA / FVA Trader. The XVA desk is in charge of managing and optimizing valuation adjustments on derivatives within Global Markets
As an XVA trader, you participate in discussions with the trading and sales teams to optimize the profitability of new deals while effectively managing the associated counterparty risks and funding.
You are also an essential point of contact for discussions on counterparty risk management with other departments (Risk and Finance) as well as quantitative teams.
You work in an international environment, within a community of experts that places excellence, impact and collective action at the heart of everything it undertakes.
This position is based in Paris with the possibility to telecommute.
As a Top Employer, we place our employees at the center of our attention. Internal mobility, career development and training devices allow you to grow and flourish throughout your journey.
You evolve in a hybrid, inclusive and collaborative work environment.
You also have the opportunity to commit yourself in favor of society and causes that are dear to your heart through our corporate foundation.
You will be contacted by one of our recruiters before meeting our business experts (manager, team member or business line).
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About you : If you recognize yourself in the following description, you are made to work with us!
With a higher education (Engineering or Business School) with a specialization in Market Finance or a PhD, you have at least 5 years of experience in Trading, Structuring or Risk Management.
You have excellent interpersonal skills, a very good ability to listen, you are :
You master English with a B2 level.
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