Molka Hendaoui

Trader at FlowBank
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Contact Information
us****@****om
(386) 825-5501
Location
CH

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Experience

    • Switzerland
    • Banking
    • 100 - 200 Employee
    • Trader
      • Apr 2021 - Present

    • Switzerland
    • Financial Services
    • 1 - 100 Employee
    • Head Of Middle Office
      • Feb 2020 - Aug 2022

    • Luxembourg
    • Financial Services
    • 1 - 100 Employee
    • Market Risk Analyst
      • Oct 2018 - Dec 2019

  • Deutsche Bank
    • Luxembourg
    • Private, wealth & Commercial Clients
      • Dec 2017 - Aug 2018

    • France
    • Banking
    • 700 & Above Employee
    • Market Product Analyst
      • Oct 2016 - Sep 2017

    • France
    • Financial Services
    • 700 & Above Employee
    • Trading Analyst- Equity Finance
      • Oct 2015 - Apr 2016

      - Monitoring Positions, P&L, Risk and other internal metrics on all Equity Finance desks (Equity Swaps, Repos, Reverse Repos, Stock Loans and Dynamic Portfolio Swaps) - Developing bespoke tools for the trading and the team in VBA, SQL and Microsoft Access. - Enhance the desk's processes - Monitoring Positions, P&L, Risk and other internal metrics on all Equity Finance desks (Equity Swaps, Repos, Reverse Repos, Stock Loans and Dynamic Portfolio Swaps) - Developing bespoke tools for the trading and the team in VBA, SQL and Microsoft Access. - Enhance the desk's processes

    • United Kingdom
    • Financial Services
    • 700 & Above Employee
    • Fixed Income Trade Processing Analyst- Client Services
      • Dec 2014 - May 2015

      • Relationship with strategic Clients on Cash and Repo deals booked with HSBC • Reporting on new issues and settlement of short-term assets (CD and CP) • Providing assistance to the Front Office for the booking of transactions with strategic clients • Simulation of transactions in Bloomberg to solve mismatches on cash elements with counterparts • Monitoring of Omgeo CTM : system providing the confirmation of deals between Brokers and Asset managers • Ensuring that all trades are being captured on a trade date basis • Assisting on any issues, and providing timely escalation to desk and operations management.

    • Portfolio Manager Assistant
      • Mar 2012 - Aug 2012

      • Assistance in the production and reconciliation of monthly NAVs • Reconciling investor redemptions and directly involved in the distribution of investor statements • Handling of day to day custody accounts ensuring the correct allocation of fund assets • Handling counterparty margin calls and queries • Establishment of dashboards for monitoring the financial market UCITS (undertaking for Collective Investment in Transferable Securities) • Elaborating annual reports of the various mutual funds

Education

  • ESLSCA
    MBA Finance-Trading & Négoce international
    2013 - 2014
  • HEC CARTHAGE
    Mastère en finance d'entreprise et des marchés
    2010 - 2012
  • HEC CARTHAGE
    Licence fondamentale en gestion spécialité finance
    2007 - 2010

Community

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