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Guillaume DAMIAN

PARIS

En résumé

10 years experience as middle officer in commodities, asset management, and CIB
Knowledge: Capital and Energy markets, PnL and risk management, excellent Excel skills, VBA

Products:
Oil (crude and products), gas, stocks, convertible bonds, futures (index, commodities),
swaps and options, Forex, structured products, mutual and hedge fund

Financial softwares:
Nova, Tempest, Tracker, Bloomberg, Reuters (3000 XTRA, Power Plus Pro), Murex, Apollo, Master
Arc, Matisse, Creation On Line, Data Stream, PB-link

Computer skills:
- Excel, expert
- VBA (macro, function, interface)
- Access (request, knowledge in SQL)

Mes compétences :
Asset management
Commodities
Derivatives
Excel
Gas
Oil

Entreprises

  • Addax Energy SA - Middle officer

    2011 - maintenant - Production of Profit and Loss for trading
    - Positions and MtM exposure reporting
    - Supporting traders for pricing and hedge allocation
    - Monitoring internal trading limits (flat price, spread, time…)
    - Prices curve creation
    - Managing database (counterpart, quotes, products)
    - System enhancement (new software: Nova, paper reconciliation, reports…)
    - Managing transversal issues between trading finance and controlling departments
    - Paper reconciliation
    - Month end reconciliation
  • Altergaz - Trade Support

    2009 - 2010 - PnL calculation for trading and sourcing portfolio
    - Monitoring market and credit risk
    - Liaising with counterparts for trade confirmations, invoices and margin calls.
    - Coding tools to follow and analyze trading activity (reporting, alerts…)
    - Setting-up procedures to control trading activity
    - Creation of a Market database from Platts, Argus, ICIS Heren, Reuters…
    - Negotiating E.F.E.T contract and credit limits with counterparts
    - Developing activity on new markets (Powernext, APX-ENDEX, Energy Savings Certificates …)
    - Supporting price engineering
  • Exane - Head of Middle Office Structured Fund

    Paris 2007 - 2009 - Fund’s valuation and explanation of performance
    - Control pricing of structured product in front office portfolio
    - Checking and transferring deals from FO to BO
    - Setting indicators to follow the risk of funds
    - Producing risk reports for the top management
    - Creation of a workflow process between custodians and administrators
    - Cash management, margin calls and adjustment of hedging swaps
    - Re-pricing of exotic swaps by sensibility analysis
    - Developing tools for pricing and following the position of the books
    - Participating in implementing a position tracking software (during 18 months)
    - Support to sales into the process of subscription and redemptions
    - Validating invoices and budget items
  • Rivoli Fund Management - Trading assistant

    2006 - 2007
  • BNP Paribas Arbitrage - Internship : Back Office certificates & convertible Bonds

    Paris 2005 - 2006

Formations

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