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Présentation d'Alexandre
Hi everyone! My Name is Alexandre and I'm Financial Risks Manager in Bank of America. In my current role I make sure my company is well capitalized to face stressed situation and to operate it's business as expected. This combines looking at many different types of risks, at regulatory evolution, governance. While using mathematics, writing, communication skills. In my previous role my teams basically handled a wide range of topics such as: - computation of collateral (financial guaranty) needed so that the company is not severely harmed when clients "do not reimburse their debts", to put it simply. Discussion with the clients when we do not agree on the computation - computation of how much the bank needs to keep as capital to ensure its stability (called Capital Requirements), and also other risk indicators used to monitor our market risk - coordinating system and process evolutions related to market risk activities I graduated from EMLyon Business School and Cergy-Pontoise University and am now Financial Risk Manager on Capital for Bank of America. Previously I was Head of 3 teams within Market Risk at Société Générale for several years. All in all, a mix of finance, mathematics, IT and DIY skills :) Before these 2 roles I had other roles in banking, including one in Athens, Greece! Want to know more about any of my roles? I'm happy to discuss it anytime! Alexandre.