WHO WE ARE
BNP Paribas has operations in 75 countries and boasts more than 185,000 employees, including approximately 145,000 in Europe. It ranks highly in its two core activities: Retail Banking & Services (comprised of Domestic Markets and International Financial Services) and Corporate & Institutional Banking. In Europe, the Group has four domestic markets (Belgium, France, Italy and Luxembourg) and BNP Paribas Personal Finance is the leader in consumer lending. BNP Paribas is rolling out its integrated retail banking model across Mediterranean basin countries, in Turkey, in Eastern Europe and a large network in the western part of the United States. In its Corporate & Institutional Banking and International Financial Services activities, BNP Paribas also enjoys top positions in Europe, a strong presence in the Americas and solid and fast-growing businesses in Asia-Pacific.
About BNP Paribas Corporate and Institutional Banking
Fully integrated in the BNP Paribas Group, BNP Paribas Corporate and Institutional Banking (CIB) is a leading provider of solutions to two client franchises: corporates and institutionals, and operates across EMEA (Europe Middle East Africa), APAC (Asia Pacific) and the Americas. The bank is a global leader in Debt Capital Markets and Derivatives. It is a top European house in Equity Capital Markets and it has leading franchises in Specialized Financing. In Securities Services, it is a top five House worldwide. BNP Paribas CIB strives to service the global economy by providing solutions to its clients in financing (ECM, DCM, specialized financing), flow banking (trade finance and cash management), financial advisory (M&A, project finance), global markets (interest rates, credit, foreign exchange, equity derivatives), risk management, and securities services.
Equity Derivatives provides a range of solutions for individuals (through brokers or banking networks), corporates, insurance companies, pension funds, institutional investors and asset managers.
The business offers equity solutions across the spectrum from standardized equity research and flow solutions to highly customized structured solutions. The teams work in partnership with clients to meet requirements for capital protection, yield and diversification, portfolio optimization and hedging.
The Quantitative Investment Strategies (QIS) group is in charge of designing and structuring systematic investment strategies for a wide range of clients. The group is organized by area of expertise (equity, multi-asset, credit, FX, rates, commodity and volatility) and comprises 20+ people between Paris and London.
Based in London and as part of the QIS group focusing on equity strategies, the successful candidate will be assigned a wide range of tasks on the desk such as :
- Providing analysis and reports (e.g. performance and risk attribution)
- Participating to the development of new investment algorithms (idea generation, back-testing, booking)
- Monitoring daily production metrics on existing strategies
- Creating tools to automate and streamline recurring processes
- Providing Market intelligence and competition analysis
- Supporting the marketing effort with salespeople
Qualifications and skills:
- Advanced degree in Quantitative Finance or Financial Engineering
- Strong background in statistics (time series analysis), portfolio construction and optimisation
- Good programming skills: VBA, Python or R
- Good communication skiils, automomy, adaptability
- Fluency in English
CONDUCT · Be a role model, supporting and fostering a culture of good conduct· Demonstrate proactivity, transparency, and accountability for identifying and managing conduct risks· Consider the implications of your actions on colleagues