Manager - Risk & Finance - Paris

  • Attractive
  • Paris, Île-de-France, Frankreich
  • Festanstellung, Vollzeit
  • Chappuis Halder & CIE
  • 17 Aug 17

Chappuis Halder & Cie is an international consulting firm dedicated to Financial Services. With offices in Europe, North America and Asia, CH&Co. relies on an international experts network to analyze the different transformation drivers of the industry as well as the latest regulatory evolutions in order to offer the best practices to its clients.

 

To support our growing activity in Europe, we are currently looking for a dynamic and enthusiastic Manager to join our Paris office. We are looking for a consulting professional with a strong expertise on Risk & Finance Management: Credit risk, Market risk, Counterparty Credit Risk as well as a significant experience in the following fields:

  • Regulatory advisory topics covered by the SREP process: ICAAP, ILAAP, regulatory governance;
  • Previous experience in writing regulatory documents for regulators (ECB, EBA, PRA, ACPR);
  • String experience in managing and leading teams in the context of risk and finance projects;
  • Experience in stress testing frameworks, stress scenarios definition or US CCAR would be a plus;
  • Signifcant knowledge in the following regulatory ratios: solvency ratios, liquidity ratios LCR/NSFR, leverage ratio;

 

As a manager at Chappuis Halder, your mission will be to:

Corporate expectations

  • Be recognized as an expert internally and externally in at least one business topic
  • Represent and promote the firm internally, lead by example, inspire by acting as a role model, show leadership
  • Manage teams efficiently, motivate staff through communication and active management of skills, offer support and direction
  • Participate in the defining and structuring of new CH&Co. offers
  • Share new offering internally and externally, take part in initiatives aiming at the growth of the Firm (client events, publications, marketing initiatives…)
  • Identify business opportunities on client accounts and organize actions to be taken to convert them into proposals and deals
  • Be strongly involved in the global firm management (proposals, internal streams, articles, recruitment, training…)

Business / Market expectations

  • Understand and identify financial institutions’ key challenges and opportunities regarding constantly evolving regulatory context;
  • Be able to discuss about risk and finance issues with financial institutions C-Level executives;
  • Anticipate and analyze prevailing market trends on risk and finance topics;
  • Be able to identify and measure different risk natures across different businesses and challenge assumptions;
  • Understand risk methodologies including VaR, IRC, and ERC, and perform models and methodology governance

Requirements:

  • M.Sc. degree in Economics, Business, Finance or Engineering from a reputable Business School or Engineering School
  • Rigorous project management skills and autonomy, able to navigate in a complex client organisation
  • Very good analytical and communication skills
  • Committed to the pursuit of a professional career in management consulting
  • Fluent in spoken and written English and French
  • Expert on Excel, VBA and SAS
  • Very good knowledge on Power Point with a high level of formalization

 

What we offer:

  • Management position in a very dynamic and fast growing consulting firm
  • Large network supporting your development and business initiatives thanks to our worldwide offices
  • Responsibilities in the development of the firm
  • Solid evolution opportunities and structured career path
  • Entrepreneurial working environment