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Exemple de missions de Moustapha,
Consultant monte-carlo habitant Paris (75)

Expérience professionnelle

HISTORY

PROJECT MANAGER
Over 15 years of experience have helped me to develop a strong knowledge of financial services, financial instruments, and working methodology.
I worked in Investment Banking from FO to BO, managing risks, and in the fund industry, being employed in the OTC department, where I managed pricing delivery, client relationship, valuation breaches & NAV errors impacts.
I have contributed to the success of several projects either as project manager (implementation of pricing models, automation of challenging prices, risk monitoring), business analyst (implementation of operation reconciliation , analysis of Funds risk matrix), or tester (automation of trade processing, position and cash derivatives product reconciliation).
My main business skills acquired in the past years covered several areas such as Fund Industry, NAV Production, Listed Derivatives, OTC Derivatives, Pricing, Cash and Securities Management Reconciliation, Collateral, Securities Lending / Borrowing & Repo, EMIR Reporting, Trade Confirmation, DTCC, and IT systems.

2019
Permanent contract
(Start : 04/11)
Client Account Manager, BNP PARIBAS Securities Services
UCITs Funds Transfer Agent Services – Fund Dealing Services
*******
June 2017 – September 2019
Business analyst Consultant
RBC, Esch-sur-alzette
Business Analysis - Project Management
Management of a Customer Portfolio, set-up of customised solutions
Development, set-up and follow-up of new OTC pricing valuation models
Monitoring Derivatives Model Pricing with Black & Scholes, Vanna-Volga, Local volatility, Bloomberg, Monte Carlo
Engaging financial advice services, creating exceptional user experiences (UX) and delivering unique value-adding features to customers.
As an active member of the Pricing Management team, focus on continuously improving the product valuation platform to reduce Financial and Operational Risk.
Delivering user features with a strong focus on User Experience (UX) and Customer Experience.
Tasks involve performing detailed requirements analysis
Identifying areas of improvements based on user experience customer feedbacks and analytics
Writing Product spécifications
Performing integration and functional testing
Collaborating with customer stakeholders in those areas

Client Relationship Management
Development of the client relationship
Ensure strong and professional relationships with all the clients

Reporting
Operations EMIR Reporting and Global Trade Repository (GTR) in DTCC
Risk
Management OTC Transactions (life cycle events)
Day to day valuation risk monitoring of structured funds, NAV production, included UCITS structured funds
Delivery pricing and cash flows with respect of NAV deadlines publications
Ensure escalation to Fund, Asset Manager, or Management Company in case of identified operational risk in day-to-day activities

January 2016 – June 2017
Derivatives OTC Manager, Middle Office Specialist
sgcib & bnp paribas cib, paris
Risk Management
Minimize the Operational Risks and the Risks of Fraud by keeping a critical eye on the Front Office dealing processes.
Submit analyzed indicators for information or for second look to CIB AntiFraud
Identify the Business As Usual dealing activities to focus on the real operational risks
Middle Office
Analyze the trading indicators on a daily basis, and where necessary, get detailed information from experts (MO Trade Support, BO, IT…)
Monitor FX ALL, GTSS, Misys, CLS and SNA delivery of services on a daily basis in line with formal service level documentation
Monitor OTC transaction flow from order management systems to FX ALL, GTSS and Misys into electronic trading platforms
Investigate and reconcile trade, position, and cash exceptions and raise any discrepancy by working with trading desks and counterparties
Monitor Spot, Forward, Swap, Option and non-deliverable forward NDF trade recaps confirmations
Paper Confirmations, Swifts on FX instructions sent to the clients according to the existing Master Agreement
Cash Management
Cash payments/receipts on FX instructions to be complied and sent to the relevant teams for processing
Check and approve OTC cash flows as procedures define prior to payment instructions being released

january 2014 - december 2015
OTC / Repo Collateral Manager, Project Manager
CA-CIB, PARIS
Customer Relationship Management
Daily client contact, accounts manager (clients and providers)
Manage client relationships on a daily basis, client queries, produce client monthly invoices
Review the reconciliation performed by the team: cash and securities balances, movements
Contribute to client and internal audits, building excellent professional relationships
Project Management
Contribute to onboarding of new business together with the Legal and Masters Agreement teams
Read and analyses credit support annex (CSA) or equivalent received from clients
Development of work breakdown structures, identification of resource requirements and assignment of responsibilities
Document and update collateral management procedures, support change and improvement of processes 
Contribute to recurrent follow up meeting with IT Support team
IT related experience
Participate in testing collateral management system new releases (UATs)

Cash and Securites Management
Making & receiving margin calls in a timely manner according the agreement (ISDA,CSA, GMRA etc…)
Booking margin calls in the collateral management system (Global View Collat Application)
Investigate settlement fails with payment and settlements back-offices and escalate to supervisor / manager
Collateral Bonds settlements systems including Euroclear, CREST, CEDEL and domestic agents
Liaise with FO’s to borrow securities and arrange substitutions - instruct collateral movements
Calculate and validate interests on cash balances calculations on a daily or monthly basis

Middle Office
In-depth knowledge of OTC Derivatives such as CIRS,CRD, Equities, FRA, FXOPTION, FXSWAP, IRG and IRS
Checking integrity of data feed from providers (Present Value, prices, ratings, static data, etc.) and liaising with support teams
Processing manual adjustments for datas not received in the automatic feeds
Liaising with clients' Middle Office or support and querying PV, cash or securities collateral balances
Investigating and escalating data anomalies such as Collateral Market Values
First level of control and 4 eye checks on collateral production, contribute to the daily, weekly level control plan
Contribute to monthly statistics and key indicators for management and production reports

january 2013 – december 2013
Business analyst - Cash and Liquidity Management Analyst
SGSS, Colombes
Business Analysis
Fees, Rebates and Dividends on lending & borrowing securities breaks Analysis and Management
Liaise on with clients, Prime Brokers, Custodians, and other Contacts levels at their highest levels (FOs, MOs and BOs)
Investigate and resolve datas differences and breaks internally and also with counterparties and clients
Provide solutions to drive continuous improvement in quality of service deliverables and internal efficiency
Middle Office
Liquidity Management Securities Lending / Borrowing & Repo

january 2010 – december 2012
Project manager Global Markets Futures and Listed Options Manager
SGCIB, Puteaux
Back Office

Day-to-Day Trades, Positions and Cash Management and Reconciliations SG/Clearers (Newedge London, Chicago…)
Expertise in IntelliMATCH  Exchange Traded Derivatives Securities and Reconciliations operational process flows  
Risk Management, breaks’ analysis, responsible for ensuring secure settlements and deal confirmations
Analyzing and qualifying mismatches and dispatching them to the relevant teams and expiration period management
Communicating with external and internal counterparties: Traders, MOs’ teams, Q&C team, Accounting, ITECs
Liaison with brokers, clearers and markets (CME , Euronext Liffe) to check out daily trades and solve discrepancies
Account Controls Rejects & Operational accounting issues: FO/BO and Buffer Base issues, OST, Alerts
Brokerage and Exchange fees booking, monthly interests, Treasury Management (IDMC, Clearing Funds…)
Cash Collateral Management, identify breaks and liaise with clients and counterparties
Management monthly contract expirations, in charge of Project tasks and Daily Activity Report production
Expertise around business analysis and strong understanding of EMIR and Clearing Houses

MOA Project Management
Project Management - Platform Exchange Traded Derivatives - SUNGARD
Implementation of a Platform Exchange Traded Reconciliations IntelliMatch reconciliations
Identify business needs and determining solutions to business problems, Analyzing large scale Financial Systems.
Gather, analyze, document and communicate requirements as well as maintain project plans and track project status.
Understand and document the requirements of the respective business areas and their products.
Perform data analysis, solve dysfunction with IT support and stabilize the platform.
Work with the different development teams to assist in documenting the system designs.
Act as a liaison between Business Users and developers to ensure proper documentation of the business
Liaise application requirements and technical specifications in order to produce comprehensive functional requirements
Work within the change control process to document and update changing system requirements.
Participate in the planning and execution of QA/UAT testing of applications.
Assist in tracking BAU demands,Training the Business Users with ETD

january 2008 – december 2009
Commodities Sales Broker
Global Markets Futures and Listed Options Manager
Mazkan Holdings, London

Front Office
Brokerage of specified listed c...

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