Market Risk Process Owner

Permanent contract|New York|Finance

Market Risk Process Owner

New York, United States Permanent contract Finance


Market risk/PNL Process Owner (RPO):

  • The RPO is accountable for the process management on his/her AMER domain

  • The RPO works closely with the Global Process Owners (GPO) to maintain their domains in terms of documentation, governance, process and projects

  • Coordinates with GPOs to design tomorrow’s transformation strategy and share any new development with AMER

Job requirements:

  • Leads and advises on transversal Audit and Regulatory topics on a timely manners

  • The RPO leads change management on his/her domain

  • The RPO monitors his process through KPIs and KRIs and defines remediation actions when necessary.

  • The RPO lead to enhance data quality and improve prioritization & remediation considering efficiency and immateriality within Global governance framework - The RPO create values through synergizing processes.

Profile required

Competencies Required:

  • Proactive leader, self-motivated and results-oriented, who is comfortable working in a very dynamic and trading environment, with rapidly changing priorities

  • Demonstrated ability to influence and lead change, develop innovative solutions, build effective partnerships, and manage cross-functional regulatory and project management projects

  • High Problem solving and analytical skills with a deep understanding the trading P&L and Income Attribution by major trading products

  • Profound risk management knowledge and experience in the trading environment

  • Excellent oral and written communication skills with business partners (front office, middle office, back office, finance and risk) cross all levels; comfortable with documenting business requirements and developing or driving technical or user process solutions

Technical Skills Required:

  • Comfortable of using advanced Excel skills and programming languages, ie. SQL, Python, and Analytical toolkits, ie. PowerBI, MicroStrategy

Prior Work Experience:

  • Experience in a Product Control / metrics monitoring

Education Required:

  • Bachelors degree Economics, Finance, Business Administration or related field

Languages Required:

  • Fluent English

Business insight

Our team is providing financial analysis, reporting and certification to different partners and stakeholders: Finance, Front-Office and Risk Management divisions.

The position is an integral part of the Metrics Monitoring Group (MMG) part of RISQ division, dedicated to the Global Markets divsion at Societe Generale Americas offices in New York City.

Joining MMG is the opportunity to acquire and develop strong technical knowledge of various products traded by the fixed income derivatives team, develop your expertise on PnL analysis, income attribution and risk metrics including Value at Risk and Stress Test.

The role offers extensive partnership with all the essential teams who managed these transactions for the bank (including traders, risk managers, developers, Middle Office….) and exposure to a broad range of functional team.

It will allow you to build a broad & deep understanding of the value chain.

The position is located directly on the trading floor.

We are an equal opportunities employer and we are proud to make diversity a strength for our company. Societe Generale is committed to recognizing and promoting all talents, regardless of their beliefs, age, disability, parental status, ethnic origin, nationality, gender identity, sexual orientation, membership of a political, religious, trade union or minority organisation, or any other characteristic that could be subject to discrimination.

Reference: 22000EFX
Starting date: 2022/06/27
Publication date: 2022/05/05