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Mireille MARCON

PARIS

En résumé

Passionnée par le monde de la finance, j'ai consacrée mes études et mes premières expériences professionnelles dans les domaines de la finance de marché et d'entreprises.

Titulaire d'un master 2 pro "ingénierie financière" et d'expériences constructives en banque, j'ai décidé en 2006 de donner une dimension internationale à mon profil.

C'est ainsi que depuis, je commençais ma carrière en Écosse chez Franklin Templeton investment, en tant qu'analyste de règlement internationaux puis a New York a la société générale (SGCIB) en tant qu'analyste de collatéral pendant 2 ans.

Actuellement je recherche un emploi en France ou a l'Étranger dans le domaine de la finance de marche.

Mes compétences :
Back Office
Derivatives
front office
Middle Office
OTC
Products

Entreprises

  • Societe Generale SGCIB - Collateral managment analyst

    PARIS 2008 - maintenant Collateral management Analyst

    Manage OTC derivative collateral (Commodity, Interest Rate, Credit Derivatives, Equities, Fixed Income, Foreign Exchange, Options, Swaps and Treasury) out of all major SG branches with 150 clients (Corporate, Hedge Funds, Broker Dealers) involving the monitoring of multi branches/multi products CSA (Credit Support Annex), aiming to reduce Bank Credit Exposure

    1)Process margin calls, interest calculation, payment/receive in cash and securities (T-Bill, T-Bond),
    2) Resolve client disputes, reconcile through Tri-Optima and manually, investigate and follow up on any trade/Mark to Market discrepancies with clients and interface with worldwide SG departments such as FO/MO/BO, Risk, Legal, Compliance and Audit reports such as Management or Credit Risk Reporting

    Ensure the respect of the multi-product collateralization master agreements' conditions (CSA and ISDA)

    Improve the daily Start of Day report (analyze the valuations of the market in the files reception of the different contributors, automate the confirmations requests internally in SG from Excel Macro to Lotus Notes)

    Member in a Project Team “Equity as Collateral”: produce business requirements for the implementation a new module dedicated to the management of new collateral types in the system, define test plan in Test Director and test roll-out.
  • Franklin Templeton Investment Management - Analyst, International Trading Settlements

    2007 - 2008 Communicates/liaison with :
    • custodians, brokers, trading desks, fund accounting and portfolio accounting to resolve settlement problems for approximately 300 accounts
    • Franklin Templeton offices worldwide : over 70 different countries with 50 different banks and several hundred brokers
    Responds to and resolves problems in a timely manner; Serves as back up to Senior Analyst
    Maintenance of the Fund of Fund in Luxembourg
    Maintenance of failing trade database for tracking purposes
    Resolves failed trade issues for Fund & Portfolio Accounting
    Cross trains in trade execution/trade notification support when work volume is excessively high or for disaster recovery purposes
  • LCL Le Credit Lyonnais, banque privee - Portfolio manager assistant

    2006 - 2006 Management of portfolio in private banking
    • Portfolios valued at € 200,000 and up.
    • Checking the part invested in shares, bonds and investment trust matched to the customers’ investment profiles, according to the trend of the market.
    • Taking the decision to make a market order to sell or buy some value in order to balance the portfolio.


    Creation of investment project
    • Making personal simulation with the amount that the prospect is ready to invest and the update performance of the national portfolio, according to the customers’ investment profiles (safety, dynamic, offensive). If this document is well written with the accurate figures, the company will sell it easily.


    Portfolio optimisation
    • Every month we had to adapt the portfolio to the new trends of the financial market and the investment politic of the asset management.
    • Taking part in the weekly meetings reviewing the values held in the portfolio.
    Internal financial communication assistant


    Daily written communication informing bankers about the financial market
    • Researching daily market and writing the communication to email to the commercial team (approximately 200 people)
    • Create a survey to identify what kind of information the commercial team would like to know and a follow up to check how many of the team read my message (on average 65%).

    Producing a weekly statistic report about the turnover of the regional portfolio
    • The regional portfolio represented Provence-Alpes-Cotes-d’Azur regions and Monaco and 25% of the national turnover.
    • Collecting and compiling information from 20 portfolio managers to focus on the main figures using an excel file I created.

    Financial communication promoting new financial products
    • Creating file describing new funds created by the asset manager and arguments to help the commercial team to sell it. After the approval of the bosses I sent this email.

Formations

  • Université Aix Marseille 3 Paul Cezanne (Aix En Provence)

    Aix En Provence 2004 - 2006 Ingenierie financiere

    Centre d'Etudes des Techniques Financières et d'Ingénierie (Cetfi) /ISEFI
  • Université Aix Marseille 3 Paul Cezanne

    Aix En Provence 2001 - 2004 Economie et Gestion des Entreprises

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