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Eric Franck ZendjaEF

Eric Franck Zendja

Banking-Finance-Risk-Modeling

€750/day
Paris, FR
3-7 years

Average response time: 1 hour

Freelancer profile translated to English.
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About Eric Franck

With over 5 years of experience in investment banking and asset management, primarily focused on production, analysis, and project management, I have consolidated my knowledge and developed strong skills in risk and valuation, particularly in equity derivatives markets. My entrepreneurial journey has strengthened my agility, versatility, and ability to innovate and manage complex projects. Autonomous and enthusiastic, I am seeking new challenges where I can leverage my organizational skills, creativity, and experience to contribute positively to your organization.
  • French

    Native or bilingual

  • English

    Fluent

  • Chinese

    Basic

Can work on-site
Paris (up to 50km)

Experience

  • Fridia
    Project Manager
    BANKING AND INSURANCE
    August 2021 - September 2023 (2 years and 1 month)
    Paris, France
    ● Creation of an innovative fintech specializing in currency collection and exchange between Africa and its diaspora.
    ● Strategic management of various projects: task prioritization, roadmap planning, deliverable tracking.
    ● Coordination of legal and regulatory feasibility studies with a specialized firm.
    ● Design and implementation of AML/CFT measures for obtaining licenses: in-depth due diligence, modeling of all operational processes, and establishment of first and second-level controls.
    ● Negotiation of partnerships with licensed institutions to ensure regulatory compliance and necessary coverage.
    ● Close collaboration with developers to design a compelling application prototype: detailed graphic design, front-end and back-end integration, rigorous testing.
    ● Representation of the company at events to enhance its visibility.
    ● Comprehensive preparation of fundraising documents.
  • Crédit Agricole CIB
    Market Activity Monitoring Analyst
    BANKING AND INSURANCE
    July 2018 - April 2021 (2 years and 9 months)
    92120 Montrouge, France
    Exotics Desk (Equity Investment Solutions)

    • Control and explanation of VaR and risk indicators (sensitivities, historical and hypothetical stress tests, specific risks, etc.) and limit management;
    • Analysis of daily portfolio results and attribution of variations by risk factor;
    • Calculation of month-end reserves for the monthly economic P&L calculation (Bid/Ask reserves, Totem, Model reserves, Day One P&L, etc.);
    • Development of a tool for inserting reserves and monthly adjustments into databases.
    • Participation in various internal (MASAI) and regulatory (FRTB) projects

    Equity Finance Desk

    • Development of a new deal-by-deal monitoring tool for the desk's securities lending and repo positions;
    • Daily monitoring, analysis, and reporting of the desk's risks and results;
    • Weekly control and explanation of extreme risk indicators and stressed VaR;
    • Participation in various cross-functional projects (SVaR Recalibration, Model Change, New Methodology, Tool Migration, etc.);
    • Participation in various regulatory exercises (EBA Stress, QIS, etc.).
  • CMG Conseil
    Risk Monitoring and Management Consultant
    BANKING AND INSURANCE
    June 2016 - June 2018 (2 years)
    Paris, France
    CM-CIC Asset Management - Valuation Expert Pole

    Mission: Project/Commando

    - Implementation of a monitoring dashboard and centralization of various daily controls performed by the EEE pole;
    - Review and improvement of processes through the development of production tools, aimed at minimizing operational risks;
    - Development of a backtesting tool for the money market fund valuation model;
    - Conduct of a study to justify the defined impact threshold of the model on the Net Asset Value (NAV) of money market funds, following a recommendation from statutory auditors: Construction of a tool for analyzing the model's threshold effects on fund NAV | Analysis of results | Conclusion;
    - Participation in the study of controls to be implemented regarding the valuation of structured swaps (Input control, revaluation, etc.).


    CREDIT AGRICOLE CIB - Market Activity Monitoring Equity

    Mission: Operational reinforcement - Convertible Bonds Desk
    - Control and explanation of VaR and risk indicators (sensitivities, historical and hypothetical stress tests, specific risks, etc.) and limit management;
    - Analysis of daily portfolio results and attribution of variations by risk factor;
    - Calculation of month-end reserves for the monthly economic P&L calculation (Bid/ask reserves, Totem, Liquidity reserves, etc.);
    - Optimization of production tools.

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Education

  • Master's degree, Financial markets
    NEOMA Business School
    2015
    Master's degree, Financial markets
  • Bachelor's degree, Accounting and Finance
    Catholic University of Central Africa
    2012
    Licence, Comptabilité et finance

Skill set (12)

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