You will have the following missions:
The VIE assignment in a nutshell
This VIE in Hong Kong is to begin as soon as possible but you need to plan 3 months between your application date and the beginning of your VIE assignment. It will last 12 months.
The VIE is a specific contract, under Business France’s eligibility criteria, opened to candidates under 28 and from the member states of the European Economic Space. For further information, please see www.civiweb.com
All our positions are open to people with disabilities
You are graduated with a Master degree from Engineering or Business School or University with a specialization in Finance, Engineering or similar
You have solid level in financial mathematics
You are familiar with products traded (Derivatives products: swaps, futures, options)
Previous exposure to any single asset class in the financial markets is a plus
You have general awareness and appreciation for global current affairs, macroeconomic and policy environment
You are reliable and detail-oriented
You can adapt quickly to challenging situations and find innovative solutions
You are fluent in English
You are proficient in Microsoft Office application (Excel, powerpoint)
Your career path
To facilitate the examination of your application by our English-speaking managers, we thank you for applying in English.
All our positions are open to people with disabilities.
SG CIB is the Corporate and Investment Banking arm of the Société Générale Group. Present in over 50 countries across Europe, the Americas and Asia.SG CIB provides corporate, financial institutions, investors and public sector clients with value-added integrated financial solutions.
The candidate will join Global Market division. Under the responsibility of the Flow Strategy and Solutions team, you will support the Cross-Asset Strategist. During this 12 months, you will assist the Strategist in the development of Flow cross asset derivatives, macro, delta one and corporate actions trade ideas, the generation of publication reports and the development of new tools to support the business (Excel / Powerpoint). You will primarily be in charge of generating and maintaining Strategy reports. This role will allow you to gain an excellent experience in Market Finance and a valuable knowledge of derivatives products.