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Cedric F. SOUDAY

LONDRES

En résumé

Mes compétences :
Bloomberg
Communication
Communication skills
computer
Computer software
Derivatives
English
English fluent
FLUENT
French
Management
Management skills
Microsoft Word - Excel
Microsoft Word Excel
Pricing
Reuters
skills management
Team worker

Entreprises

  • SOCIETE GENERALE Corporate & Investment Banking London - Associate, Global Business Analyst Fx & Derivatives

    2005 - maintenant - Prepare various reports as per Global FX management request;
    - Building and consolidating sales business plan;
    - General business development and interactions with other business lines;
    - Permanent supervision control;
    - Responsibility for new customers relation (netting agreement, ISDA contract, KYC, follow up for first trades including individual customers needs);
    - Legal for confirmations and others clients’ legal related matters;
    - RISQ for all issues related to counterpart risks;
    - Communication with Middle-Office regarding booking issues, P&L explanation, specific treatments for Exotic Currency Options;
    - Others projects related to Societe Generale Corporate Investment Banking Strategy on FX & Derivatives (Shared Goals coordinator, … ).
  • DEUTSCHE BANK London - Associate, Credit Derivatives Analyst

    Paris 2004 - 2005 - Credit Events Monitoring, Maintenance of Trade Capture, Pricing Issues, Trading Support;
    - Finance Assets that include ABS, CMBS, Structured Swaps and Funding TRS.
  • SOCIETE GENERALE London - IRD, Senior FX & Derivatives Middle-Office

    PARIS 2003 - 2004 * Interest Rate Derivatives :

    - Exotics Structures traded by the Derivatives Solutions Desk (Booking Confirmations MtM);
    - Daily Sales and Client Income Reporting, Legal Aspects and Compliance for new customers.

    * FX & FX Options :

    - Checking of all trades done with Corporates and Hedges Funds;
    - Specialist on FX Options Exotics Structures (Confirmations Booking MtM);
    - In charge of all Give Up Agreements for the Global FX desk and EFP Agreements;
    - Daily Interface between Paris Front-Office London Sales and Customers.
  • SOCIETE GENERALE Paris - Senior FX & Derivatives Middle-Office

    PARIS 1999 - 2003 - Daily Front-Office Reporting and Portfolios Valuations;
    - Currency Options ticket processing. Daily Events (Parameters, Exercises, Limit);
    - Control and validation of all trades via Brokers and Reuter dealing;
    - Daily Back-Office counterparties problems (Confirmations, Payments);
    - Warrants and Exotics Products (Listing Emissions, Back-office Scheme, Procedures);
    - Daily interface between European Sales and Paris;
    - ITEC projects on New Exotics Structures and Procedures related.

    Mission New York: Middle-Office's training on in house systems and new Exotics Structures.

Formations

Pas de formation renseignée

Réseau

Pas de contact professionnel

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