Félix HARON
PORTFOLIO MANAGER ASSISTANT - FUNDS OF HEDGE FUNDS, THEAM - BNP PARIBAS INVESTMENT PARTNERS
158 contacts
2010 - 2011- Equity & short term interest rates products booking in trading systems.
- Portfolio optimization (returns, switch of positions).
- Monitoring of positions : dividends, corporate actions.
- Collateralization and risk management (operational, regulatory and credit risks).
- Daily contact with customers.
- Project management: automatization of the daily position (VBA).
2010 - 2010- Calculation and optimization of the bond position.
- Risk management : error account, analysis of market operations, monthly statistics.
- Monitoring of the Front Office activity : Credits, Fixed-Income, Money Market, Repo & Swap, Futures, Options and Structured Products.
- Established tools aimed at reducing manual operations (VBA)