Risk Controller M/F – VIE Munich

Job code: 190000ZS
Date of publication: 12-04-2019
Starting date
Job function
Analytics & Business Intelligence
Business unit
Société Générale Securities Services
München - Germany
Job type
International Volunteer Program


Your Environment

Société Générale Securities Services is part of the business line Global Banking Investor Solutions of Société Générale, which is the biggest financial service provider in Europe. Société Générale Securities Services has 4,000 employees across 23 countries. It offers a full range of securities services:

  • Custody & Trustee services
  • Fund Administration & Asset Servicing
  • Fund Distribution
  • Liquidity Management
  • Issuer Services
  • Clearing services

In Germany Société Générale Securities Services has about 250 employees in Munich and Frankfurt. The position is located at Société Générale Securities Services GmbH in Munich. The role is allocated to the Risk Analysis & Performance Measurement Team, which consists of 13 team members.


Your role
During your VIE mission you will:  
  • Control and report obligations according to regulatory requirements (e.g. Derivative Ordinance, Alternative Investment Fund Management Directive) for own funds and those of insourcing clients;

  • Support new business (e.g. Synthetic Risk Reward Indicator) calculation and monitor for SII SCR-calculation;

  • Develop key risk data if necessary or requested;

  • Draw up functional specifications;

  • Process enquiries;

  • Depending on upcoming needs, you may also actively participate on other group and internal projects relevant for the wider Analytics & Data Management Department.


The VIE assignment in a nutshell

This VIE in Munich 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 up to 12 months.

The VIE is a specific contract, under Business France’s eligibility criteria, open to candidates under 28 and from the member states of the European Economic Area.

Please see Civiweb www.civiweb.com in order to have more details regarding compensation.

Your profile

Graduate from a Business School, Engineering School or University with a Master's Degree, preferably in a field related to Business Mathematics / Business Administration or Economics.

A specialisation in Risk Management, Portfolio Management or Quantitative Finance is an advantage.

You possess sound analytical skills, both quantitative and qualitative, and you have a keen eye for detail.

You are able to summarise and convey complex, technical information in an appropriate way.

You have a good command of German and English.

You are proficient in using Microsoft Office applications, some knowledge of VBA and SQL is an advantage.


Your career path

You will : 
  • Get deep insight into a major, internationally operating organisation within the financial industry;

  • Gain a broad overview of the German securities services industry and instruments;

  • Get trained on multiple operational aspects centred around the management of risks and the controlling of fund performance;

  • Deepen your knowledge on project work activities;

  • Become part of a supportive, welcoming and friendly atmosphere and team;

  • Work in a learning-friendly environment.

To facilitate the examination of your application by our English-speaking managers, we thank you for applying in English.
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