Euronext Clearing- Senior Associate, Financial Risk LOD2
Euronext
Euronext Clearing- Senior Associate, Financial Risk LOD2 page is loaded## Euronext Clearing- Senior Associate, Financial Risk LOD2locations: Rome - via Tomacelli: Milantime type: Full timeposted on: Posted Todayjob requisition id: R26699**Join us as a Senior Quantitative Risk Analyst – Financial Risk (LOD2, CCP)** Location: Rome (Hybrid) Team: Clearing Risk – LOD2 Financial & Credit Risk Reporting to: Head of Financial & Credit Risk**About the role**We are looking for a quantitative profile to join the Risk Oversight & Controls (ROC) function within the Second Line of Defence (LOD2) of a Central Counterparty (CCP).The role is focused on independent model challenge, EMIR regulatory testing and controls across margin, default fund, and risk frameworks.This is a high-impact position: you will not develop models, but you will assess, challenge, and strengthen them. You will work at the intersection of quantitative modelling, risk governance, and regulatory expectations.**Key responsibilities****Model Challenge (core focus)*** Perform independent challenge of Initial Margin, Default Fund, and stress testing frameworks across asset classes (Fixed Income, Equities, Derivatives, Commodities, Power)* Analyse model assumptions, limitations, and behaviour under stressed and non-linear market conditions* Identify weaknesses and propose improvements, recalibration, or redesign* Contribute to structured reviews of new models, parameter changes, and new business initiatives**EMIR Tests & Quantitative Validation Activities*** Execute and enhance EMIR-mandated tests (Backtesting, Sensitivity Analysis, Reverse Stress Testing)* Analyse results with a critical view on model performance, stability, and procyclicality* Support interpretation of outcomes and escalation of key findings* Contribute to continuous improvement of testing frameworks and methodologies**Controls & Risk Monitoring*** Design and perform quantitative controls on margin, default fund, and key risk metrics* Monitor consistency, stability, and risk sensitivity of model outputs* Develop anomaly detection approaches (including data-driven or ML-based techniques)* Investigate outliers and perform deep-dive analyses when needed**Other responsibilities (secondary scope)*** Contribute to the challenge of key risk policies (Default Management, Liquidity, Collateral, Investment)* Support default-related activities (e.g. liquidation logic, fire drills)* Contribute to liquidity and investment risk monitoring tools* Support development of internal analytics (including credit-related insights where relevant)* Contribute to regulatory monitoring (EMIR / ESMA / IOSCO) and internal reporting* Participate in the development of tools, dashboards, and automation initiatives**What we are looking for**We are looking for a strong quantitative thinker, able to challenge and not just execute.**Required:*** Degree in Mathematics, Physics, Engineering, Quantitative Finance or similar* Strong understanding of financial risk concepts* Solid analytical mindset with the ability to question models and assumptions* Good programming skills (Python preferred) for data analysis and modelling* Ability to work independently on complex and unstructured problems**Preferred:*** Experience in CCPs, clearing houses, or financial markets* Knowledge of margin methodologies (VaR, Expected Shortfall, stress testing)* Familiarity with EMIR or similar regulatory frameworks* Exposure to large datasets and/or machine learning / AI techniques**What makes this role interesting*** Direct involvement in the independent challenge of CCP risk models* Exposure to regulatory-driven quantitative frameworks (EMIR testing)* High visibility and interaction with senior stakeholders* Opportunity to develop a critical understanding of how risk models behave in practice* Steep learning curve across multiple asset classes and risk dimensions**Why join us**You will be part of a function that plays a critical role in ensuring the robustness and credibility of the CCP risk framework.This is an opportunity to work on complex quantitative problems with real impact, in an environment where critical thinking and independence are key.We are proud to be an equal opportunity employer. We do not discriminate against individuals on the basis of race, gender, age, citizenship, religion, sexual orientation, gender identity or expression, disability, or any other legally protected factor. We value the unique talents of all our people, who come from diverse backgrounds with different personal experiences and points of view and we are committed to providing an environment of mutual respect.## **Additional Information**This job description is only describing the main activities within a certain role and is not exhaustive. It does not prevent to add more tasks, projects.n as of end December 2022, it has an unmatched blue-chip franchise and a strong diverse domestic and international client base. Euronext operates regulated and transparent equity and derivatives markets, one of Europe’s leading electronic fixed income trading markets and is the largest centre for debt and funds listings in the world. Its total product offering includes Equities, FX, Exchange Traded Funds, Warrants & Certificates, Bonds, Derivatives, Commodities and Indices. The Group provides a multi-asset clearing house through Euronext Clearing, and custody and settlement services through Euronext Securities central securities depositories in Denmark, Italy, Norway and Portugal. Euronext also leverages its expertise in running markets by providing technology and managed services to third parties. In addition to its main regulated market, it also operates a number of junior markets, simplifying access to listing for SMEs.
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Offerta di lavoro pubblicata 3 giorni fa
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