Recovery and Resolution (F/H) - 6-month CDD

Natixis

Paris

Hybride

EUR 55 000 - 85 000

Plein temps

Il y a 6 jours
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Avantages offerts par ce poste

Hybrid work model
Home working option

Résumé du poste

Natixis Recovery & Resolution in Paris seeks a Finance Project Manager for a 6-month fixed-term contract to coordinate contingency and resolution measures across Corporate & Investment Banking and Asset & Wealth Management. The role ensures alignment with European regulators and BPCE processes.

You will design and implement enhanced financial models, strengthen Excel projections, and drive cross-functional delivery in an international, hybrid work environment.

Qualifications

  • Higher education in finance, banking, risk management or equivalent.
  • At least 2 years of experience in banking sector roles, ideally in CIB, on structural risk projects or front/middle office market activities.

Responsabilités

  • Design and implement features in the Save Liquidity module within the CFP context.
  • Strengthen Excel projection tools for financing and market activities to add time steps and new crisis intensities.
  • Model long-term financing professions (syndication, CPRM) and validate with back-tests.
  • Develop and accelerate updates for the Solvent Wind-Down plan and coordinate remediation actions.
  • Coordinate with business lines, BPCE Natixis ALM Liquidity teams, and European authorities.

Connaissances

Financing & capital markets
Data processing
Excel advanced
Market tools

Formation

Finance/banking/risk management degree

Outils

Alteryx
Power BI
BO (Business Objects)

Description du poste

Recovery and Resolution (F/H) - 6-month CDD
  • Fixed Term Contract
  • 22165
  • Paris
Company Description

Natixis Corporate & Investment Banking is a leading global financial institution that provides advisory, investment banking, financing, corporate banking and capital markets services to corporations, financial institutions, financial sponsors and sovereign and supranational organizations worldwide.

Our teams of experts in close to 30 countries advise clients on their strategic development, helping them to grow and transform their businesses, and maximize their positive impact. Natixis CIB is committed to aligning its financing portfolio with a carbon neutrality path by 2050 while helping its clients reduce the environmental impact of their business.

As part of Groupe BPCE, the second largest banking group in France through the Banque Populaire and Caisse d’Epargne retail networks, Natixis CIB benefits from the Group’s financial strength and solid financial ratings (Standard & Poor's: A+, Moody's: A2, Fitch Ratings: A+,R&I: A+).

Job Description

You join the team Natixis Recovery & Resolution as Finance Project Manager, in charge of coordinating the implementation of measures that would be activated in the professions Corporate and investment banking (CIB) and Asset and Wealth Management (AWM) in the event of a major liquidity or solvency crisis within the Group, before entering into resolution (liquidity relief plan, recovery plan) and resolution (bail-in, reduction or separation of certain activities, restructuring of activities). These systems meet the requirements set by the European regulator and are integrated in line with the processes planned by Groupe BPCE.

On a daily basis, your tasks are to:

Design and implement new features in the module Save Liquidity from Contingency Funding Plan (CFP);

Strengthen the Excel projection tools for financing and market activities in order to integrate new needs, such as additional time steps or new intensities of crisis;

Specify and implement a more accurate modeling of long-term financing professions, particularly in syndication and CPRM, then check their relevance via back-tests;

Develop an accelerated update procedure for the Solvent Wind-Down plan, by identifying sources, assessing anomalies and implementing the necessary remediations;

Manage and coordinate this work in a complex and evolving environment, in connection with the business lines, the ALM Liquidity teams of BPCE and Natixis, the second line of defense, and the European supervisors.

As Finance Project Manager, you are participating in the evolution of two key banking recovery and resolution mechanisms: the Contingency Funding Plan, a pre‑resolution tool aimed at addressing a more or less severe liquidity crisis, and the Solvent Wind-Down of trading books, a post‑bail‑in reorganization tool intended to prepare for the cessation of market activities and the rest of the prudential trading book. You also contribute to the production of deliverables and the coordination of Natixis' contributions to Groupe BPCE’s work on these issues, in collaboration with the European authorities and BPCE’s Financial Resilience department.

You work in an international environment, within a community of experts who place excellence, impact and collective action at the heart of everything they do.

#TransformatveFinance
This position is based at Paris with the possibility of working from home.
We place our employees at the center of our attention. Internal mobility, career development and training programs allow you to grow and flourish throughout your journey.
You work in a hybrid, inclusive and collaborative working environment.
You also have the opportunity to engage in favor of society and causes that are important to you through our corporate foundation.

About the recruitment process
You will be contacted by one of our recruiters before meeting our business experts (manager, team member or business sector).

Required Skills/Qualifications/Experience

About you: If this is your description, you are made to work with us!

With a higher education in finance, banking, risk management or equivalent, you have at least 2 years of experience in positions within the banking sector, ideally in Corporate and Investment Banking, on projects related to structural risks and/or front office/ middle office market activities.

You master:

  • The products of BFI, in financing and capital markets;
  • Processing large volumes of data, in modeling and reporting;
  • Advanced Excel (TCD, INDEX, MATCH, INDIRECT...);
  • Market and data tools (Alteryx, BO, Power BI);
  • Structural risk issues; knowledge of recovery/resolution frameworks is a plus.

You have excellent interpersonal skills, a very good ability to listen; you are:

  • Curious;
  • Rigorous;
  • Strength of proposal.

You master English with a B2 level.

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