Market Risk Analyst - xVA
BNP Paribas CIB
Data: há 2 dias
Cidade: Lisboa, Lisboa
Tipo de contrato: Tempo total

About The Job
To find out more on why you should join BNP Paribas visit https://bnpp.lk/why-BNP-Paribas-Portugal
- The mission of RISK MFI A&D Market & Liquidity Risk (“MLR”) is to provide Senior Management of the Group, of the RISK Function and of Global Markets (“GM”) with full transparency and dynamic analysis with respect to the market and liquidity risks originated and managed by CIB GM, to assist them in their risk decision making
- Within MLR, the Exotic & Structural Transversal Risk (ESTR)/xVA team is responsible for
- Holistic and transversal view of exotic and other structural risks across Global Markets
- Analysis and monitoring of xVA risk exposures inherent to the bank’s derivatives portfolio and the associated hedges, by understanding the origin of the exposures (specific trades, products), reviewing certain trades in the context of the Risk Mitigating Hedging status of the XVA desk and attending relevant review committees
- Analysis, monitoring, and validation of Credit/Debt and Funding Valuation Adjustments (CVA/DVA/FVA/ColVA) of all Business Units. Analysing and explaining variations and adjusting if necessary. To provide market risk analysis of these portfolios
- Provide expertise on XVA topics within RISK MFI and more globally within RISK and the group
- The team collaborates closely both with the dedicated market risk teams in charge of business lines (GBL market risks teams), the Transactions and Valuation Model Risk teams, other RISK MFI and RISK teams, as well as directly with Global Markets. The team ensures that all material risks are identified and communicated to senior management, and that adequate and globally consistent control frameworks are applied
- Conduct complex market risk analysis
- Rigorously apply market risk management frameworks, displaying innovation, imagination and creativity where needed
- Assess and evaluate market risks
- Support market risk processes and initiatives. Contribute to projects. Contribute to implementation of frameworks
- Suggest improvements to existing processes
- Use judgement to escalate topics according to materiality and complexity
- Provide technical support to more junior staff and coordinate work of juniors
- Bachelor Degree in Finance / Economics / Sciences or related
- At least 2 years of experience in Trading / Risk Management or similar
- Proficiency in MS Office Microsoft Excel
- Advanced level of English, both written and oral
- Knowledge in
- Python
- VBA
- Attention to detail / rigor
- Ability to collaborate / teamwork
- Analytical ability
- Communication skills, both written and oral
- Creativity and innovation / problem solving
- Critical thinking
- Leading banking institution
- Our presence in Portugal
- International reach
- Retail Banking, a division that brings together all of the Group’s retail activities and specialised business lines;
- Investment & Protection Services that include specialised businesses offering a wide range of savings, investment and protection services;
- Corporate & Institutional Banking division that offers tailored financial solutions for corporate and institutional clients.
- Diversity and Inclusion commitment
- Commitment towards work/life balance
- Remote Working Conditions
To find out more on why you should join BNP Paribas visit https://bnpp.lk/why-BNP-Paribas-Portugal
- Please note that only applications submitted in English will be considered.
- In case you are selected for this role, further documentation will be requested to support your hiring process.
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