Caroline Francois-Sigrand

Chef de projet SI Gestion des prêts - Caisse des Dépots et Consignations at Groupe Caisse des Dépôts
  • Claim this Profile
Contact Information
us****@****om
(386) 825-5501
Location
Greater Paris Metropolitan Region, FR
Languages
  • anglais Full professional proficiency

Topline Score

Topline score feature will be out soon.

Bio

Generated by
Topline AI

You need to have a working account to view this content.
You need to have a working account to view this content.

Credentials

  • Certification "Devenir manager"
    Global Knowledge France
    Apr, 2021
    - Nov, 2024
  • Carte professionnelle "Responsable back-office"
    MATIF SA
  • Prince 2 Foundation
    QRP International France

Experience

    • France
    • Government Administration
    • 700 & Above Employee
    • Chef de projet SI Gestion des prêts - Caisse des Dépots et Consignations
      • Apr 2022 - Present

    • France
    • IT Services and IT Consulting
    • 300 - 400 Employee
    • Manager, chef de projet MOA
      • Mar 2017 - Mar 2022

      Teamwill est un cabinet de conseil expert des problématiques métiers et SI autour du crédit et des financements spécialisés. Mission actuelle : Caisse des Dépôts et Consignations. Programme Fidelio (migration du système de gestion des prêts sur le progiciel Cassiopae). Maitrise d'ouvrage sur la partie Editique Client du projet. Précédente :La Banque Postale, programme Ma French Bank (création de la banque digitale de LBP). Chantier maitrise d'ouvrage, Offre et Vie du compte Teamwill est un cabinet de conseil expert des problématiques métiers et SI autour du crédit et des financements spécialisés. Mission actuelle : Caisse des Dépôts et Consignations. Programme Fidelio (migration du système de gestion des prêts sur le progiciel Cassiopae). Maitrise d'ouvrage sur la partie Editique Client du projet. Précédente :La Banque Postale, programme Ma French Bank (création de la banque digitale de LBP). Chantier maitrise d'ouvrage, Offre et Vie du compte

    • France
    • Business Consulting and Services
    • 1 - 100 Employee
    • Consultant - project management
      • Oct 2005 - Mar 2017

      Project management in the banking industry (retail and financial markets). Migration to new information systems (clients : Caisse d'Epargne, Natixis Financement, LCH.Clearnet SA, State Street Banque, SGCIB). Business requirements definition / Test plan definition / management of internal and external testing of the applications with pilots / training and change management towards final users Writing of internal procedures around regulatory requirements such as money-laundering /… Show more Project management in the banking industry (retail and financial markets). Migration to new information systems (clients : Caisse d'Epargne, Natixis Financement, LCH.Clearnet SA, State Street Banque, SGCIB). Business requirements definition / Test plan definition / management of internal and external testing of the applications with pilots / training and change management towards final users Writing of internal procedures around regulatory requirements such as money-laundering / personal data protection Definition of Business Continuity Plans (for LCH Clearnet SA, French CCP) Show less Project management in the banking industry (retail and financial markets). Migration to new information systems (clients : Caisse d'Epargne, Natixis Financement, LCH.Clearnet SA, State Street Banque, SGCIB). Business requirements definition / Test plan definition / management of internal and external testing of the applications with pilots / training and change management towards final users Writing of internal procedures around regulatory requirements such as money-laundering /… Show more Project management in the banking industry (retail and financial markets). Migration to new information systems (clients : Caisse d'Epargne, Natixis Financement, LCH.Clearnet SA, State Street Banque, SGCIB). Business requirements definition / Test plan definition / management of internal and external testing of the applications with pilots / training and change management towards final users Writing of internal procedures around regulatory requirements such as money-laundering / personal data protection Definition of Business Continuity Plans (for LCH Clearnet SA, French CCP) Show less

  • STRAPER
    • Région de Paris, France
    • Consultant
      • Oct 2003 - Oct 2005

      Project "Plateforme financière" (Caisse Nationale des Caisses d'Epargne) : migration "front to back to accounting" (SUMMIT/ARPSON) of the information system of regional Caisses d'Epargne. In Charge of 4 banks out of 29. Project "Plateforme financière" (Caisse Nationale des Caisses d'Epargne) : migration "front to back to accounting" (SUMMIT/ARPSON) of the information system of regional Caisses d'Epargne. In Charge of 4 banks out of 29.

  • IFF SNC
    • Paris
    • Back-office and Customer relationship
      • Dec 1998 - Jan 2002

      Billing for trades execution, follow-up of outstanding payments and litigation (for USA and Asia) Management of brokerage fees (harmonization) in the context of accounts openings (on Matif/Liffe/DTB Eurex/Monep markets) Follow-up of traders’ revenue (profit sharing calculations, statistics) Billing for trades execution, follow-up of outstanding payments and litigation (for USA and Asia) Management of brokerage fees (harmonization) in the context of accounts openings (on Matif/Liffe/DTB Eurex/Monep markets) Follow-up of traders’ revenue (profit sharing calculations, statistics)

    • United Kingdom
    • International Trade and Development
    • 500 - 600 Employee
    • Back-Office Manager Derivatives Markets
      • Aug 1998 - Dec 1998

      Middle-office : booking of financial operations for clearing, in relation with front-office, external brokers and clearing house (formerly Matif SA, now LCH.Clearnet) Daily morning checks on treasury (margin calls and deposits), end-of-day processes (accounting and positions), management of deliveries (futures and options) , monthly specific reporting (statistics) to the head office (London) Risk , treasury, collateral management Middle-office : booking of financial operations for clearing, in relation with front-office, external brokers and clearing house (formerly Matif SA, now LCH.Clearnet) Daily morning checks on treasury (margin calls and deposits), end-of-day processes (accounting and positions), management of deliveries (futures and options) , monthly specific reporting (statistics) to the head office (London) Risk , treasury, collateral management

  • Bank of America Futures SA
    • Région de Paris , France
    • Back-office manager Derivatives markets
      • Feb 1996 - Jul 1998

      Middle-office : booking of financial operations for clearing, in relation with front-office, external brokers and clearing house (formerly Matif SA, now LCH.Clearnet) Daily morning checks on treasury (margin calls and deposits), end-of-day processes (accounting and positions), management of deliveries (futures and options) , monthly specific reporting (statistics) to the clearing house and to the head office (Chicago) Risk , treasury, collateral management, Monthly and… Show more Middle-office : booking of financial operations for clearing, in relation with front-office, external brokers and clearing house (formerly Matif SA, now LCH.Clearnet) Daily morning checks on treasury (margin calls and deposits), end-of-day processes (accounting and positions), management of deliveries (futures and options) , monthly specific reporting (statistics) to the clearing house and to the head office (Chicago) Risk , treasury, collateral management, Monthly and quarterly regulatory reporting to Banque de France, in relation with the auditors Show less Middle-office : booking of financial operations for clearing, in relation with front-office, external brokers and clearing house (formerly Matif SA, now LCH.Clearnet) Daily morning checks on treasury (margin calls and deposits), end-of-day processes (accounting and positions), management of deliveries (futures and options) , monthly specific reporting (statistics) to the clearing house and to the head office (Chicago) Risk , treasury, collateral management, Monthly and… Show more Middle-office : booking of financial operations for clearing, in relation with front-office, external brokers and clearing house (formerly Matif SA, now LCH.Clearnet) Daily morning checks on treasury (margin calls and deposits), end-of-day processes (accounting and positions), management of deliveries (futures and options) , monthly specific reporting (statistics) to the clearing house and to the head office (Chicago) Risk , treasury, collateral management, Monthly and quarterly regulatory reporting to Banque de France, in relation with the auditors Show less

    • France
    • Financial Services
    • 400 - 500 Employee
    • Internship
      • Feb 1995 - Sep 1995

      front offfice (desk) assistant. NB : Newedge was formerly known as "Indosuez Carr Futures" front offfice (desk) assistant. NB : Newedge was formerly known as "Indosuez Carr Futures"

Education

  • Université Paris X Nanterre
    Licentiate degree (3 years), Philosophy
    1991 - 1994
  • ICART PHOTO
    Photography
    1990 - 1993

Community

You need to have a working account to view this content. Click here to join now