Wail Azizi

Debt Capital Markets Analyst, NYSE Euronext

ParisIle-de-France - France

NYSE Mail: wazizi@nyx.com
BloomBerg account : wazizi@bloomberg.net

Compétences
- Debt instruments: Bonds, Sukkuk, ECP, EMTN, BMTN
- MTFs trading platforms & Regulated Market
- Trading & Exchange analysis
- Liquidity Provision
- Pre-trade and Post-trade processes
- Debt Markets product management
- Risk identification and evaluation (credit, market risk, operational risk etc.)
- Standards and regulations (Basel II, Sarbanes-Oxley, U.S. GAAP, MiFID etc.)
- ESG rating methodology
- Business process engineering and re-engineering

Wail Azizi
10 contacts
Depuis 2011

- Conduct analysis to articulate recent market trends and analyze market activity.
- Monitoring of the trading and liquidity trends through production and analysis of key indicators (spread, depth, market impact).
- Provide analysis on Liquidity Providers activity.
- Assess and rethink the viability of current LP models.
- Support defining liquidity scheme models in collaboration with Product Managers.
- Manage Liquidity Providers relationship for the Regulated Debt Markets.
- Support the development, promotion and the launch of the new bond's electronic trading platform “NYSE BondMatch” in collaboration with the Product Development Manager.
- Dealing with the Debt Instruments (Bonds, ECPs, EMTNs, BMTNs) external requests

Finance
Expérience professionnelle
2010 - 2011

Chair OPCVM AG2R LA MONDIALE

- Perform a comprehensive review of the rated projects
- Evaluate all credit risks to ensure the compliance with internal rating methodology (Financial and Extra financial criteria).
- Conduct reviews of the ratings assigned to the projects as well as performing a pro-active monitoring.
- Write papers on the credit quality, sectors, risk methodologies, etc.
- Asses the compliance of the ESG criteria with internal RMP.
- Compiling the sector's necessary external and internal information.
- Participate in the monitoring and the maintenance of internal risk methodologies.

Assurance
2010 - 2010

- Support to the establishment of new standards and regulations (Basel II, Sarbanes-Oxley, U.S. GAAP, MiFID, IFRS ...)
- Analysis and improvement of risk management (credit, market risk, operational risk, ...)
- Analysis and Business process re-engineering
- Assisting in the quality review of deliverables produced by associate analysts
- Identify opportunities to improve current processes

Cabinet Comptable - Audit
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