Market Risk Analyst
Join to apply for the Market Risk Analyst role at BNP Paribas CIB
Continue with Google Continue with Google
1 week ago Be among the first 25 applicants
Join to apply for the Market Risk Analyst role at BNP Paribas CIB
About The Job
The role of Management & Supervisor Information (MSI) team is to provide General Management, CIB, supervisors, rating agencies and other stakeholders with a consolidated, global, and independent view of the market, liquidity and counterparty risks associated with trading securities, derivatives and repos with clients such as other banks, corporates or
- funds. Perimeters covered by the MI team include notably BNP Paribas’ Global Markets, Securities Services, ALM Treasury, Asset Management and Wealth Management.
About The Job
The role of Management & Supervisor Information (MSI) team is to provide General Management, CIB, supervisors, rating agencies and other stakeholders with a consolidated, global, and independent view of the market, liquidity and counterparty risks associated with trading securities, derivatives and repos with clients such as other banks, corporates or
- funds. Perimeters covered by the MI team include notably BNP Paribas’ Global Markets, Securities Services, ALM Treasury, Asset Management and Wealth Management.
Consequently, as part of RISK Markets & Financial Institutions, MSI sits at the heart of a network of technical and subject matter experts in the fields of market/counterparty risk in order to turn data into management information. For the MSI analyst the challenge is therefore to i) be able to engage with market and counterparty risks analysts on complex financial aspects and ii) then distill the resulting information into a clear message that will be presented directly to the CIB senior management, the Group CRO or even the ECB to name a few consumers of MSI’s product.
Finally, working within the MSI team will allow you to strengthen your knowledge of market, counterparty and liquidity risks on a diversified scope and constantly changing subjects.
Your Main Activities Are
The Core Responsibilities Of The MSI Role Include
- Analysis on market risks measures such as Greeks, understanding of the outright and various basis exposures, the P&L explain, the Regulatory Va
R and SVa
R, as well as the Stress Tests (assumptions and drivers) within the FICC (Fixed Income Currencies & Commodities) perimeter. - Analyse risks and put metrics vs
- dynamics into context, regarding the expected impact, compiling the information and reporting findings to the Management, in the form of supporting the various risk committees/meetings in place, including GM Main Positions Meetings. Interact regularly with RISK MFI A&D, representing RISK MFI MSI in the regular meetings with Trading and RISK, taking full responsibility for commenting exposures and contributing on discussion topics and points of attention, having full ownership of the meeting document and meeting minutes/notes. - Contribution on related topics to the production of the monthly Financial Market Risk Committee (FMRC) documentation. Contribute to the production of other relevant / on demand reports to the Board and to Group, Businesses and RISK Management, as well as requests from ratings agencies, regulators and auditors.
- Improve reporting through continuously adjusting the contents based upon information on prevailing business activities, in order to aid the decision making of Senior Management.
- When dealing with subject matter experts, show understanding of complex topics, such as those involving quantitative analysis, models, stress testing, etc; demonstrating awareness of quantitative skills / techniques.
- Drive infrastructure upgrades/development ensuring improvements and maintaining understanding of changes and ability to explain them. Improve existing processes in order to optimize efficiency, improve transparency, enhance functionality and ensure optimal quality of reporting.
- Provide expert assistance to MFI MSI ST and RISK MFI in stress testing matters and related regulatory reporting contributions.
- Adhere to procedures, performing controls and data quality processes.
- Developing models for Market Risk analysis and internal Stress Testing, doing draft presentations and technical documents designed to articulate key risks to
- risk forums, among other responsibilities.
Profile And Skills To Success
- Master's degree in Finance, Mathematics, Engineering or Statistics.
- A previous experience in Risk Management or Data Analysis would be a plus.
- The candidate must be fluent in English.
- A good communication both oral and written, as well as the ability to synthetise, is required for the position.
- The candidate must be proficent in Microsoft Office tools.
- An understanding of Financial & Risk management concepts as well as deriveative products is recommended.
- Leading banking institution
- Our presence in Portugal
- added services to various countries where the BNP Paribas Group also operates.
- International reach
- Retail Banking, a division that brings together all of the Group’s retail activities and specialised business lines;
- Investment & Protection Services that include specialised businesses offering a wide range of savings, investment and protection services;
- Corporate & Institutional Banking division that offers tailored financial solutions for corporate and institutional clients.
- Diversity and Inclusion commitment
- Commitment towards work/life balance
- Remote Working Conditions
- up, eligible employees are provided with both the office and home equipment, are entitled to an equipment allowance and can benefit from exclusive partnerships to purchase additional equipment at reduced prices.
To find out more on why you should join BNP Paribas visit https://bnpp. lk/why-BNP-Paribas-Portugal
- Please note that only applications submitted in English will be considered.
- In case you are selected for this role, further documentation will be requested to support your hiring process.
Seniority level
Seniority level
Not Applicable
Employment type
Employment type
Full-time
Job function
Job function
Finance and SalesIndustries
Banking and Financial Services
Referrals increase your chances of interviewing at BNP Paribas CIB by 2x
Get notified about new Market Risk Analyst jobs in Porto, Porto, Portugal.
Enterprise Risk & Internal Controls Analyst
Senior Cyber & Tech GRC Risk Management Analyst
Business Analyst for Credit Risk Stress Testing
Business Analyst for Credit Risk Stress Testing
Data Analyst for Risk & Procurement team (Group-wide Services)
Business Analyst for Credit Risk Stress Testing
We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
#J-18808-Ljbffr- Informações detalhadas sobre a oferta de emprego
Empresa: BNP Paribas CIB Localização: Porto
Porto, Porto District, PortugalPublicado: 31. 8. 2025
Vaga de emprego atual
Seja o primeiro a candidar-se à vaga de emprego oferecida!