Driven by expertise. Empowering people.
We are an independent exchange at the heart of Europe’s financial markets,
close to local ecosystems and connecting market participants globally.
Driven by expertise. Empowering people.
We are an independent exchange at the heart of Europe’s financial markets,
close to local ecosystems and connecting market participants globally.
Collaborative dialogue to develop our strategy. All our employees are invited to participate in the development of our corporate strategic plan through surveys, workshops and discussion forums. Your say counts!
Client centric approach. Delivering excellent customer experience and value is paramount at Euronext. Our Client Centricity Champions work within all teams across the company to ensure this is at the heart of everything we do.
Employee-defined corporate values. Our people chose our company values based on what matters to them most and we live them every day…. Unity, Integrity, Agility, Energy and Accountability.
Innovate on a daily basis, by continuously improving ways of working and client relationships in a company nurturing human relationships. Think out of the box via joint ventures or partnerships & contribute to employee innovation campaigns.
Our ambition is to continue to power local & global capital markets to drive sustainable growth for our clients. You can play a key role in helping us achieve this ambition.
Join EuronextWe are an agile, innovative and dynamic organisation with a strong people culture and ethos.
We take great pride in the heritage of our Exchanges while embracing the future.
Euronext has tripled in value since 2014 and has a strong track record of successful acquisitions and expansion. We now have employees spread across 11 European countries, the US and Asia.
where you can have an impact and challenge the status quo, both within and outside your team.
for your performance and contribution, through new career opportunities, or attractive compensation packages and incentive schemes.
where we invest in employee well-being through our Wellnext program and develop CSR initiatives. We are proud to be an equal opportunity employer and promote a work environment open to diversity in all its forms.
Key Accountabilities
Na een gedegen inwerktraject ga je aan de slag voor onze klanten, deze bevinden zich met name binnen de gemeentelijke en overheidsmarkt. Tijdens de werkzaamheden ben je verantwoordelijk voor;
· Een gedegen voorbereiding van de Webcast. Dit betekent controleren of de medewerkers van de klant de Webcast op de juiste manier hebben aangemaakt en of alle informatie beschikbaar is zodat jij zonder problemen je werkzaamheden kan verrichten. Daarnaast controleer je of er een internetverbinding actief is en of er beeld en geluid is. Mochten hier problemen aan het licht komen dan kan je terugvallen op onze support afdeling met technische experts;
· Het bedienen van de Webcast. Hiermee bedoelen wij het starten, meeklikken van actieve agendapunten en sprekers, commentaar ingeven tijdens een schorsing en het stoppen van een Webcast/ Mochten er tijdens een live-uitzending problemen zijn dan stel je de medewerkers van de klant op hun gemak en neem je contact op met onze support afdeling om te zien of het probleem is op te lossen. Communiceer proactief met de medewerkers van de klant zodat zij weten wat de status is;
· De sprekersindexatie. Deze dient binnen 48 uur opgeleverd te worden. Aan de hand van onze editor ben jij in staat om nauwkeurige sprekers-aanpassingen te doen in ons systeem zodat onze klanten tevreden zijn met het eindresultaat en probleemloos een vergadering kunnen terugkijken;
Knowledge, Skills and Experience Required
· Kwaliteit en Inzet: Gedreven om een goed resultaat te bereiken, hoge eisen stellend aan zichzelf en de output;
· Samenwerken: Zoekt samenwerking met anderen en levert een actieve bijdrage in het formuleren en behalen van gemeenschappelijke doelen;
· Verantwoordelijkheid: Het onvoorwaardelijk nakomen van afspraken zowel intern als extern (follow-up), zich op een loyale en betrokken wijze inzetten voor de organisatie en onze klanten. Zich verantwoordelijk voelen voor eigen handelen en daarop aangesproken kunnen worden;
· Servicegericht: Pittige en enthousiaste persoonlijkheid met een servicegerichte instelling;
· Afspraken nakomen: Afspraak is afspraak voor onze klanten en voor ons in de organisatie.
· Stressbestendig: In staat om te kunnen gaan met onverwachte situaties.
Voor het uitoefenen van deze functie zal bij de sollicitatie worden gevraagd om een VOG (Verklaring Omtrent Gedrag). Deze kan uiteraard gedeclareerd worden bij Company Webcast.
As Senior Internal Auditor you will:
Profile and Skills
What we can offer:
The position is located in Oslo, Norway and reports to Group Head of Internal Audit in Oslo.
MTS is looking for a dedicated Credit Specialist to join the Product Management team primarily focused on the Credit specific aspects of the Bondvision trading platform. The candidate will take responsibility for the development, evolution and maintenance of all Credit specific functionalities on Bondvision working closely with the Head of Bondvision Product development.
The candidate will work closely with relevant stakeholders on both the buy and sell side in order to establish good working relations and direct communication of requirements. The candidate will also collaborate with the Sales and Technology teams in the collection and definition of technical requirements and in the communication and presentation of new developments. They will also interact across the Product and other MTS teams where activity may intersect with marketing, legal, regulatory, client service and operational activity.
Key Accountabilities
Knowledge, Skills and Experience Required
Key accountabilities
Your profile
Euronext Clearing, the Euronext's Central Counterparty in Italy is a multi-asset clearing house that provides proven risk management capabilities on 14 markets, across a range of trading venues including Euronext Milan, MTS, BrokerTec and Hi-mtf. Asset classes cleared include equities, ETFs, Closed-end Funds, Financial Derivatives, Commodities (Agricultural & Energy) and Fixed income (Cash and Repos markets).
Euronext Clearing provides a job opportunity as Senior Risk Manager.
Key Responsibilities
The Senior Risk Manager will be accountable for the following activities:
Credit Risk Measurement of Euronext Clearing Participants and Counterparties
Monitoring of Market Risk of the financial instruments cleared
Monitoring of Investment Risk
Monitoring of Liquidity Risk
Derivatives Pricing Controls
Guarantees Calculation
Risk Models Development
Back Testing
Sensitivity/Stress and Reverse Stress Testing
Collateral eligibility criteria and haircuts calculation
Recovery Plan
Risk Regulatory activities
Support the Clients for Risk Management topics
Role mission for Euronext Clearing Internalization
Support in the Design and Value proposition of the risk streams of Euronext Clearing Internalization programme;
Active participation in the programme projects to secure value delivery;
Active support in the analysis of the most appropriate solutions to be developed to achieve the goals in the most efficient and effective way
The ideal candidate has:
Master’s Degree in Physics, Mathematics, Statistics, Economics, Quantitative Finance or equivalent
5-7 previous experience in Risk Management within banking/ investment banking and financial contexts
Knowledge of programming languages (e.g. Python, Matlab, VB, Java, C++,…)
Deep knowledge of financial markets and instruments
Fluency in English
Good Analytical skills and problem solving attitude
Proficiency in Microsoft Office package
Strong Attitude to teamwork
Ability to work well under pressure
Key Accountabilities
Expected Skills and Knowledge:
Job Profile
Key Accountabilities
Knowledge, Skills and Experience Required
The Cash Equities Trading team manages the Euronext secondary market offering for securities. This includes overseeing market making activity on the platform, fine-tuning pricing models and generating tailored market structure research as well as interacting with trading members.
The Senior Product and Development Manager will be joining a multicultural team based in Paris with strong connections across Euronext locations in Milan, London, Oslo and Amsterdam. The Equities team is tasked with the following missions:
Maximize the yield, market share and revenue of Euronext Cash Equity trading business.
Management of trading fees and market making programs.
Order book analysis and equity market quality research.
Client relationship with key trading participants such as global banks, retail brokers, market makers, prop trading firms.
Business development projects for the expansion of equity product offering.
Key responsibilities:
Assist the Head of Equity Trading in leading the franchise.
P&L accountability: overall responsibilities for key KPIs (revenues, yield, market share).
Project management: manage existing groups of products and services as well as the development of new ones in line with the roadmap to achieve business priorities.
Client relationship: establish a strong network with the ecosystem (banks, brokers, market makers, retail networks).
Regulation: ensure our offering is compliant with our regulatory obligations and anticipate changes in that space.
Business development: ensure that the franchise is at the forefront of innovation (in terms of product, services, pricing, sales engagement).
Internal coordination: act as a bridge between the various stakeholders (project teams, finance, regulation, surveillance, legal etc.)
Conduct competitor analysis, functionality, pricing and market penetration to recommend improvements to enhance Euronext’s market position.
Maintain and develop relationships with business development and client services, ensure we have an accurate and detailed understanding of our client needs.
Your profile
Excellent academic background.
Minimum 5 years of experience in product management, business development or sales support role.
Expert knowledge of Euronext’s market model, rule book, service offer, the buy-side and sell-side landscape.
Knowledge of the full product development lifecycle.
Strong commercial acumen and strategic awareness.
Excellent written and oral presentation skills, an ability to combine attention to detail with the wider strategic view.
Rigorous project management skills: ability to leverage internal and external relationships, autonomy and determination to drive forward projects, provide clear business input into functional requirements.
Collaborative, open, pragmatic, customer oriented and numbers-driven approach to work.
International business experience – developing products in multiple geographic locations.
Euronext
Euronext’s purpose is to shape capital markets for future generations. As such, Euronext has a special position in the financial ecosystem. It serves the real economy by bringing together buyers and sellers in transparent, efficient and reliable trading venues. In this key role, Euronext has a responsibility to the whole finance community, not only to ensure financial stability, but to contribute decisively to a sustainable growth model in the countries in which it operates. A central element of Euronext work is engaging with its customers, European and local public authorities, and policymakers, to help shape the regulatory and policy issues that impact the financial sector and empower sustainable finance.
Euronext is the leading pan-European market infrastructure, connecting European economies to global capital markets, to accelerate innovation and sustainable growth. It operates regulated exchanges in Belgium, France, Ireland, Italy, the Netherlands, Norway and Portugal.
Euronext operates regulated and transparent equity and derivatives markets, one of Europe’s leading electronic fixed income trading markets and is the largest centre for debt and funds listings in the world. Its total product offering includes Equities, FX, Exchange Traded Funds, Warrants & Certificates, Bonds, Derivatives, Commodities and Indices. The Group provides a multi-asset clearing house through Euronext Clearing, and custody and settlement services through Euronext Securities central securities depositories in Denmark, Italy, Norway and Portugal.
Euronext also leverages its expertise in running markets by providing technology and managed services to third parties. In addition to its main regulated market, it also operates a number of junior markets, simplifying access to listing for SMEs.
Our Finance department
Finance supports the Euronext organisation and its management. It is accountable for the accurate financial representation of Euronext operations.
Finance is in charge of keeping the books of the company, produces the budget and forecast as well as all financial indicators necessary for the effective management of the company. The financial information is made available internally (management reporting) and externally (annual report, quarterly communication to the analysts, ..). Our Finance teams count more than 100 profesionnals across all our locations in Europe
Within Finance, the Treasury team plays a central role interacting with internal finance departments including account payables, account receivables, General Ledger, Financial Performance and Analysis and external parties (e.g. financial institutions and external auditors), processing Group payments and managing Group cash position, liquidity, financial debt, financial risks and insurance program.
Key accountabilities
As Middle Office Manager of the Treasury department of Euronext, you will exert permanent control of all treasury investment transactions, including intercompany transactions, make an ongoing assessment of compliance with Group and local treasury investment policies, and ensure best in class middle office procedures in line with Euronext core model and its Treasury processes. You will be required to make optimal use of the treasury management system and play a key role in implementing the automation of treasury reports, including cash position reconciliation and cash forecast. You will make treasury contributions to the preparation of Euronext financial statements and provide external and internal auditors with relevant information in relation to the control of financial assets and liabilities. You will maintain bank account mandates and act as the main contact person for bank KYC reviews and regulatory reports.
Your key responsibilities can embed:
Manage the treasury middle office activities in relation to liquidity management, treasury investments, ensuring a pivotal role between front office and back office activities
Contribute to the automation and maintain comprehensive Group treasury reports, including cash position, analysis of cash variations, cash forecast and financial risks reports
Monitor and report limits and counterpart exposures to the Treasurer, Group Finance Directors and relevant Finance Directors on an ongoing basis
Maintain intercompany loan portfolio and provide back office with instructions for timely interest and loan repayments
Assist the Treasurer in defining rules to optimize settlements of intercompany transactions within the Euronext Group and reduce transaction costs
Control interest income on bank balances and treasury investments, including intercompany transactions
Perform month end closing activities and provide back office team with monthly accounting entry schemes as necessary
Monitor subsidiary liquidity to ensure compliance with regulatory requirements and report to the Treasurer and the relevant Finance Directors any situation which may cause liquidity breaches in a timely fashion
Interact with other finance support functions of Euronext, mainly Account Payables, Account Receivables, Group Consolidation and Group Risk & Compliance, (Denmark, Dublin, Milan, Oslo, Paris, Porto, Rome, New-York…), and provide all treasury information required for their activities as necessary
Exert vigilance to Fraud and Cyber risks an maintain awareness through training and learning
Your profile
Experience
Minimum of 5-8 years of professional experience in Finance in an international and complex/regulated organizations
Knowledge of Treasury, liquidity management, financial risk
Strong experience in performance, risk and KPI analysis, mgt reporting and presentation/discussion of data and results
Knowledge of a Treasury Management System is valued, but not mandatory
Education and Knowledge
Master’s degree in Finance or equivalent financial background
Comprehensive understanding of financial instruments
Accounting knowledge
Mastering basic reporting tools and reporting automatization (e.g.: excel).
Evolute tools knowledge is a plus (e.g.: PowerBI, Python, etc)
Proven Microsoft office skills, in particular Excel (VBA strongly appreciated) , Microsoft Power BI
Strong team worker, open minded, transparent in communication, high level of cooperation
Ability to maintain a high level of confidentiality, integrity and trust
Able to use fluently spoken and written English as corporate language
Keen on maintaining high level of excellence in providing reliable data with strong attention to details
Process oriented – minded – well organized and able to prioritize as necessary
Highly motivated, proactive and self starter, willing and able to learn, demonstrate initiative
Open to innovation / automation of processes
BORSA ITALIANA – INTERNSHIP, SUSTAINABLE FINANCE INTERNSHIP
Borsa Italiana Spa, the company responsible for the organization and management of Italian financial markets, provides an internship opportunity as Sustainable Finance Partnership Internship.
The resource will support the “ESG - Sustainable Finance Partnership” project. This is a Partnership launched by the Euronext Group in order to aggregate leading operators of the Italian financial community who share the mission of developing sustainable capital markets for Italy. The intern will take part in an interdisciplinary and transversal project between various teams of the Euronext Group.
Workplace: Milan, Piazza degli Affari 6
Key Responsibilities
The resource will support the various teams in the following activities:
support to the team in maintaining relations with Partners (to date 22), participating in calls, preparing the necessary meeting notes and follow-ups.
support in the implementation of visibility activities with Partners such as for example Italian Sustainability Week, drafting of a quarterly newsletter, organization of events, organization of interviews.
support for the development of the Partnership's medium-term strategy)
Candidate Profile
The ideal candidate has:
Master’s degree in economics or finance
Proficiency in English
Understanding and ability to use Microsoft Office Package (Word, Excel, Power Point, Outlook and Teams)
High level of efficiency and attention to details
High flexibility
Ability to work well in teams and independently.
Our values shape our behaviour and define who we are, principles that are a reflection of us. Our values were defined by our employees as the behaviours everyone at Euronext strives to live and work by.
Euronext is committed to diversity and gender equality.
We are proud to disclose our score to the “Index de l’égalité professionnelle”.
For 2023, Euronext Paris has reached a score of 93/100 and Euronext Technologies of 88/100*.
We will keep improving all types of diversity.
*Details Results
Items | Euronext Paris | Euronext Technologies |
---|---|---|
Ecart de remuneration | 38 | 33 |
Taux d’augmentation | 35 | 35 |
Maternité | 15 | 15 |
10 plus hautes rémunérations | 5 | 5 |
Flavia joined the Porto Technology Centre in 2016 as a Product Support Analyst before contributing to the development of our Optiq trading platform. She now designs new functionalities that address our clients’ needs while anticipating quality assurance (QA) impacts.
Within Euronext’s real-time market data business, Shelley started as an analyst before moving to policy making and is now responsible for all commercial and regulatory projects.
A responsible member of each community we operate in.