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François-Xavier VORILLION

Paris

En résumé

Pas de description

Entreprises

  • Caceis Bank Luxembourg

    Paris maintenant
  • Caceis Bank Luxembourg - Head of Credit and Market Risk

    Paris 2012 - maintenant
  • Caceis Bank Luxembourg - Deputy Head of Credit and Market Risk

    Paris 2011 - 2012 Responsible for directing the analysis of all credit and market related activities and for making recommendations in respect of credit policies and directions.

    > Support and assist the Head in key risk issues.
    > Review, approve (within risk committee) or recommend for approval credit risk-related transactions originating from FI counterparties.
    > Ensure relevant training and best practices are maintained to a high level across the team.
    > Cooperate with regulators and other external stakeholders
    > Drive projects to define risk calculation methods, credit risk limits and reports in IT systems.
  • Caceis Bank Luxembourg - Credit and Market Risk Analyst

    Paris 2008 - 2011 Supervise and control risks linked on the one hand to cash accounts’ openings for institutional clients, and on the other hand to market operations from the dealing room of Caceis Bank Luxembourg.

    > Perform all necessary credit due diligence and analysis on FIs for credit needs (overdrafts...) or market operations (Treasury management, Forex, Securities Lending...).
    > Assess FIs risk profile and issue credit proposal.
    > Review and update credit risk control measures, policies and procedures.
    > Daily monitoring of credit risk and bank’s market position including var, sensitivity and FX position.
    > Work closely with different business units in identifying and developing credit risk mitigation solutions and legal requirements.
    > Prepare reports to management of outstanding loans review and of the bank’s market exposures.
  • Caceis Bank Luxembourg - Positionniste Trésorerie

    Paris 2007 - 2008 Interface with the trading room, collaborators and internal services with regards to treasury management.

    > Calculate treasury cash position for the dealing room.
    > Analyze cash movements and daily variations in the currency position.
    > Performs cash transfers between bank’s nostro accounts.
  • IQ Solutions* - Corporate Actions Consultant

    2006 - 2007 Deal with clients’ securities operations.

    >Gather and analyze information on the corporate action from different sources, advise clients.
    >Trigger the recording of securities transactions on customer accounts.

    * Mission performed at Caceis Bank Luxembourg

Formations

Pas de formation renseignée

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