· To monitor and develop our pricing and auto hedging tools
· To perform quantitative research and tool development for helping trading desks in automating their business
· To run back test using both production software and alternative tools (VBA Python) .
· To analyse Liquidity Providers and Clients impact in close relationship with sales.
· To develop and improve production software including indicators
This description is intended to outline the main responsibilities for the role and is not an exhaustive list, responsibilities may vary from time to time as directed by your manager.
The VIE assignment in a nutshell
This VIE in London 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 18 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 .
Interested ? It's up to you to score the try!
Graduated from a Business School or University, with a master degree in Financial Engineering/Financial Mathematics, Statistics/Mathematics
You are fluent in English
Proficient with MS Office, VBA and Python
You are accustomed to evolving in an international context
You identify with the Group's values: team spirit, innovation, responsibility and commitment
Able to work autonomously
Good communication skills
Strong analytical skills and an aptitude for numbers with attention to detail
Able to develop relationships based on trust and professionalism
To facilitate the examination of your application by our English-speaking managers, we thank you for applying in English.
Now let's talk about the post-match!
Why Join Us
You will benefit from this experience and have an excellent ability to further develop your analytical skills.
You will have the opportunity to discover a new country, culture and the day-to-day job in an Investment Banking Industry.
The Global Markets functions is a trusted partner to external clients (Corporates, Financial institutions and Asset Managers) in market activities, offering a cross-expertise in Research, Investment and Risk Solutions, Execution and Prime Services.
You will be joining the EQD department at Societe Generale.
It aims at providing a full set of services to Institutional and Corporate clients that will support their investment or risk management targets.
Thanks to market-leading research, engineering, trading , our clients benefit from strategic insights, flow information, competitive pricing and seamless execution
We design solutions for our clients, capitalising on the full spectrum of fixed income and currencies products and services.
All our positions are open to people with disabilities
Job code: 19000SH5
Business unit: SG CIB
Starting date: 01/01/2020
Date of publication: 21/10/2019