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BNP Paribas
- Analyste Risques et Stratégie
Paris
2010 - 2012
BNP PARIBAS (Paris)- From March 2010 to present
Strategic Risk Management Risk Department
• Organization and coordination of high value Committee for the Board to determine or support Risk policies:
- on countries : country risk, focus on exposure (evolution, concentration, currency, sector etc.), determination of envelope (exposure, RWA) and rationale behind, recommendations ;
- and Businesses: definition, profitability, strategy, policy and Senior Management decisions.
• Research and analysis on transversal subjects (country risk classification, policies on concentration etc.)
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BNP Paribas
- Analyste Crédit
Paris
2004 - 2010
BNP PARIBAS (Paris) - From December 2004 to March 2010 (5 years)
Associate, Corporate & Investment Banking – Coverage and Territories Europe
- Credit risk counterparts analysis: sectors and financial statements analysis, cash flow projections, preparation of credit proposals / annual review, position on the new demand, presentation to GRMs and Senior Credit Officers, participation to the Credit Process decision ;
- Transactions profitability evaluation: RAROC / ROPE, Economic Capital etc. ;
- Client meetings with the GRM, participation in the Client Relationship management, preparation of the Client Action Plan and Budget ;
- New opportunities screening, cross-selling for high value-added transactions, and pitches preparation ;
- Specific skills on French Public Financing and Public-Private Partnership: tender offers detection and assistance for the answer, coordination of the different business lines involved (Capstar, Project Finance, Shipping, Real Estate, BPLG).
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BNP Paribas
- Portfolio Management
Paris
2004 - 2004
BNP PARIBAS (Paris) - From May to December 2004 (8 months)
Portfolio Management, French Retail Banking – Structured Finance (EUR ~2-100 M)
- Loan agreement covenants and guarantees monitoring, waiver and amendment requests analysis ;
- Credit risk analysis, syndication coordination (e.g. Information Memorandum for the pool of banks) ;
- Financial model update for leveraged transactions such as LBO, or debt restructuring.
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Société Générale
- Assistante Relationship Manager (Retail Banking)
PARIS
2003 - 2003
SOCIETE GENERALE (Paris) - From April to June 2003 (3 months)
Relationship Manager Assistant, FRB / Champs Elysées local Agency
- Financial audits ;
- Financing requests analysis for small-cap companies ;
- Guarantees implementation and renewal ;
- Client meeting preparation ;
- Client files update and management.
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Fortis Bank
- Chargée d'études Credit Derivatives
2002 - 2003
FORTISBANK (Brussels) - From September 2002 to February 2003
(6 months)
Credit survey, CIB – Trading Floor / Credit Derivatives
- Trading introduction ;
- Studies on correlation ;
- Assistance in Credit Default Swap and First to Default baskets implementation.