About Eric Franck
French
Native or bilingual
English
Fluent
Chinese
Basic
Experience
- FridiaProject ManagerBANKING AND INSURANCEAugust 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 CIBMarket Activity Monitoring AnalystBANKING AND INSURANCEJuly 2018 - April 2021 (2 years and 9 months)92120 Montrouge, FranceExotics 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) projectsEquity 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 ConseilRisk Monitoring and Management ConsultantBANKING AND INSURANCEJune 2016 - June 2018 (2 years)Paris, FranceCM-CIC Asset Management - Valuation Expert PoleMission: 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 EquityMission: 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 marketsNEOMA Business School2015Master's degree, Financial markets
- Bachelor's degree, Accounting and FinanceCatholic University of Central Africa2012Licence, Comptabilité et finance