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Dhinaun FRANCK

PARIS

En résumé

Franck is Senior Manager in the « CFO & Enterprise Value» service line.

He has built a strong expertise in treasury areas (front office, middle office, back office, cash management & bank communication). He helped many customers to redefine their treasury processes/strategies, select their treasury solutions and implemented some of them. He has good knowledge of treasury technology landscape and processes.

He is also an expert on the quality data subjects, within the regulation context of Solvency II. This expertise was consolidated during the numerous projects he conducted in France and abroad, for life insurance companies, non-life insurance companies and credit-insurance companies.

Thanks to a previous experience in Investment Banking, Franck has a very good knowledge of financial processes (front-to-book processes).

Franck graduated from AUDENCIA Business School. He was certified Trader EUREX in 2003.
Specialties

Risk Management (Solvency II, Hedging strategies...), Treasury management (Front Office, Middle Office, Back Office, Cash management, Bank communication [SEPA, SWIFT...]), Project Management.


Mes compétences :
Back Office
Cash Management
Communication
front office
Management
Middle Office
Risk management
Trading
Treasury

Entreprises

  • Accenture Strategy - CFO & Enterprise Value - Senior Manager

    2006 - maintenant For large corporates:

    - Review & Optimization of the treasury processes / strategies (hedging strategies, internal bank, Group/Entities relationships...).
    - Risk analysis for Group & local treasuries.
    - Writing of Requests for Proposal to select a new treasury system, including Front Office, Middle Office, Back Office, Cash Management and Bank Communication applications.
    - Implementation of treasury Solutions (Front office, Middle office & Back Office part) & assistance in modelling risk reports.
    - SEPA impact study (SCT & SDD) & review of the functional and technical architectures to integrate SEPA requirements.
    - Process reingeneering for the SDD management.

    For large european insurance companies (credit insurance, life & non-life insurance companies):

    - Solvency II Project Management
    - Detailed analysis of the data flows required to supply the internal model
    - Definition and implementation of data governance
    - Specifications of the tool used to monitor data quality
    - Identification and description of data subjected to « expert judgments »
    - Formalization of the procedures used to consolidate the alerts
    - Definition of Solvency II impacts on the functional and technical architectures
    - Definition of the functional/technical target architectures, and design of an action sheet to optimize data quality

  • Ixis CIB Frankfurt - Equity derivatives sales for german and austrian clients

    2005 - 2005 -Buying and selling of vanilla options and structured products based on stocks baskets or Indexes baskets.
  • Ixis CIB Paris and Frankfurt - Money market trader

    2002 - 2005 - Management of the group treasury.
    - Trading on following currencies : USD, AUD, CAD, CHF, GBP, HKD, SGD, HUF, PLN, NZD, ZAR, JPY…
    - Hedging operations with currency swaps.
    - Trading on money market products (ECP, USCP, Deposits...) and hedging operations with IRS.
    - Futures trading on Schatz (Eurex Certified in 2003)

Formations

Pas de formation renseignée

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