-
Listing
-
Trading
Where European Government Bonds meet the futureFixed Income derivativesLer maisTrade Mini Bond Futures on main European Government Bonds
-
Clearing
Step into Europe’s next phase of Repo ClearingRepo ClearingLer maisEuronext is expanding its repo clearing services to boost market access, liquidity provision and collateral optimisation across Europe.
-
CSD
European CSD modelBuilding the CSD of Choice in EuropeLer maisEuronext Securities is shaping the future of European capital markets by enhancing integration, connectivity, and innovation.
-
Technology
Euronext Technology SolutionsHigh-Frequency Trading Solution (HFTS)Ler maisThe new generation of high-frequency risk trading platforms, offering the highest performance with ultra-low latency and minimal jitter, all at a low total cost of ownership.
-
Data
-
Indices
Access the white paperInvesting in the future of Europe with innovative indicesLer maisThe first edition of the Euronext Index Outlook series with a particular focus on the European Strategic Autonomy Index.
- Regulamento
-
About Euronext
Euronext strategic planInnovate for Growth 2027Ler maisShaping capital markets for future generations
-
Listing
-
Trading
Where European Government Bonds meet the futureFixed Income derivativesLer maisTrade Mini Bond Futures on main European Government Bonds
-
Clearing
Step into Europe’s next phase of Repo ClearingRepo ClearingLer maisEuronext is expanding its repo clearing services to boost market access, liquidity provision and collateral optimisation across Europe.
-
CSD
European CSD modelBuilding the CSD of Choice in EuropeLer maisEuronext Securities is shaping the future of European capital markets by enhancing integration, connectivity, and innovation.
-
Technology
Euronext Technology SolutionsHigh-Frequency Trading Solution (HFTS)Ler maisThe new generation of high-frequency risk trading platforms, offering the highest performance with ultra-low latency and minimal jitter, all at a low total cost of ownership.
-
Data
-
Indices
Access the white paperInvesting in the future of Europe with innovative indicesLer maisThe first edition of the Euronext Index Outlook series with a particular focus on the European Strategic Autonomy Index.
- Regulamento
-
About Euronext
Euronext strategic planInnovate for Growth 2027Ler maisShaping capital markets for future generations
Euronext Clearing - Quantitative Risk management …
Date
Job ID
R22814
Country
Italy
Job City
Rome - via Tomacelli
Job Family
Risk management
Job Type
Employee
Job Sub Type
Permanent
Euronext Clearing, the Euronext's Central CounterParty based in Italy, is a multi-asset clearing house that provides proven risk management services on a number of European markets. Cleared asset classes include equities, ETPs, financial and commodity derivatives and bonds (cash and repo markets). The company offers a job opportunity as Quantitative Risk Manager (LOD 1).
The Quantitative Risk Manager (LOD 1) will be accountable for (some of/all) the following activities:
- Design, implementation, daily monitoring and potential enhancement of the risk models and tools aimed at tackling most of the risks the CCP faces:
- (mainly) Market risk of the Clearing Members’ portfolios, in turn mainly reflected by Margins and Default Fund contribution quotas
- Market risk of the collateral posted by Clearing Members
- Liquidity risk of the CCP
- Market risk of the CCP’s investment portfolio
- Daily monitoring and potential enhancement of the EMIR tests:
- Back Test
- Stress Test
- Sensitivity Test
- Reverse Stress Test
- Daily monitoring of the markets and the CCP
- Daily support to the Clearing Members
- Periodical reporting to internal/external stakeholders
- Interactions with Euronext business lines
- Interactions with Supervising Authorities
- Interactions with interoperable CCPs
Your Profile:
- Master’s Degree in Quantitative Finance, Mathematics/Physics/Statistics applied to Finance or equivalent
- Previous experience of 4-5 years in Quantitative market Risk Management within banks/financial contexts ( nice to have: CCPs)
- Good knowledge of financial markets and instruments
- Proficiency in English
- Programmer mindset (preference for Python and SQL programming languages, Git version control software, Jira task management software)
- Good knowledge of Microsoft Office suite
- Good analytical and problem solving skills
- Ability to work in team
- Good attitude towards working simultaneously on multiple tasks often with tight deadlines/under pressure in an accurate manner
- Proactive behaviour
Optional requirements:
- Good knowledge of French language