Market Risk Financial Analyst
Há 5 dias
Company Overview
Societe Generale is a leading financial institution committed to strengthening bonds with colleagues, communities, and the world in which we operate. Our 4 core values of commitment, responsibility, team spirit, and innovation drive our ability to serve client needs and anticipate market changes.
About the Role
We are seeking a highly motivated Market Risk Financial Analyst to join our team. As a key member of our team, you will support daily Treasury management result reporting and observe the appropriateness of limits according to local policy.
Responsibilities
- Support for daily Treasury management result reporting
- Support for daily Market Risk and Liquidity reporting observing the appropriateness of limits according to local policy
- Product Control process development and improvement
Requirements
- Bachelor degree with graduation after July 2026
- Advanced English level
- Microsoft Office tools advanced level (mainly Excel)
Compensation and Benefits
Our compensation package includes an estimated annual salary of $80,000, plus additional benefits that promote work-life balance and employee satisfaction. Our hybrid work environment offers employees the flexibility to work remotely or on-site, while adhering to all SG standard protocols.
Diversity and Inclusion
We strive to create an inclusive culture and workplace that recognizes employees' unique needs and utilizes their diverse talents. Our Diversity & Inclusion Mission is to recruit, develop, advance, and retain a diverse workforce that enhances our competitive position and delivers innovative solutions to our clients.
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