Societe Generale · 3 hours ago
Markets Product Control Specialist Operator
Societe Generale is a leading financial services company, and they are seeking a Markets Product Control Specialist Operator. The role involves assessing and monitoring market risks, conducting portfolio analysis, and collaborating with trading desks to provide insights into P&L drivers and risk metrics.
Asset ManagementBankingFinancial ServicesInsurancePersonal Finance
Responsibilities
Assess and monitor market risks in compliance with the bank’s risk appetite and internal policies
Regularly review exposures and follow up on limit breaches and excesses
Conduct portfolio analysis and report findings to senior management
Analyze and comment on daily and monthly P&L and risk metrics
Provide insight into the P&L drivers and income attribution of trading desks
Develop and maintain strong working relationships with trading desks to understand their business strategies and client activities
Analyze desk sensitivities to key market risk factors and ensure alignment with firm-wide risk appetite
Contribute to transversal and regulatory initiatives, including project workstreams and methodology updates
Collaborate with technology and engineering teams to enhance reporting tools and automate processes
Provide insights on local market dynamics, product trends, and client behavior specific to the US region
Participate in the definition and validation of global risk policies and methodologies from a US market perspective
Identify and escalate new or evolving risks and contribute to improvements in risk measurement frameworks
Prepare materials for the Monthly Risk Management Committee and contribute to global group reporting
Maintain strong relationships with local management, support functions, auditors, and regulators
Qualification
Required
Bachelor's degree or U.S. equivalent in Electronic Engineering, Financial Engineering, Mathematics, Finance, or related field, plus 5 years of professional experience as a Market Risk Analyst, Credit Risk Analyst or any occupation, job title, position in financial markets, product control, or risk
In lieu of a Bachelor's degree plus 5 years of experience, employer will accept a Master's Degree or U.S. equivalent in Electronic Engineering, Financial Engineering, Mathematics, Finance, or related field, plus 3 years of professional experience as a Market Risk Analyst, Credit Risk Analyst or any occupation, job title, position in financial markets, product control, or risk
3 years of professional experience in financial products (including Fixed Income and Equity Derivatives)
3 years of professional experience utilizing P&L reporting, risk attribution, and income decomposition
3 years of professional experience with market risk concepts and capital markets infrastructure
3 years of professional experience utilizing regulatory frameworks (including, Basel and FRTB)
3 years of professional experience utilizing programming skills including Python, VBA, and SQL for data analysis and process automation
3 years of professional experience working with senior stakeholders
Benefits
Annual discretionary bonus
401(k) plan with company match
Medical/dental/vision
Other benefits for fertility, wellness, student loans and commuters
Company
Societe Generale
Societe Generale is a financial services organization that offers retail, corporate, and investment banking services.
H1B Sponsorship
Societe Generale has a track record of offering H1B sponsorships. Please note that this does not
guarantee sponsorship for this specific role. Below presents additional info for your
reference. (Data Powered by US Department of Labor)
Distribution of Different Job Fields Receiving Sponsorship
Represents job field similar to this job
Trends of Total Sponsorships
2025 (9)
2024 (9)
2023 (4)
2022 (7)
2021 (18)
2020 (19)
Funding
Current Stage
Public CompanyTotal Funding
$111.84M2024-07-15Post Ipo Debt· $26M
2023-12-04Post Ipo Debt· $10.84M
2021-10-01Post Ipo Debt· $15M
Recent News
2026-02-08
2026-02-07
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