Jean-Baptiste Roussel, FRM, CAIA

Jean-Baptiste Roussel, FRM, CAIA

Internship : Economic reports writer

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  • Timeline

  • About me

    Audit Manager - Internal Audit at Natixis Investment Managers US

  • Education

    • Chartered Alternative Investment Analyst

      2009 - 2009
      CAIA Alternative Investments
    • UNIVERSITE D'AUVERGNE

      2005 - 2005
      Master Finance
  • Experience

    • Chambre de Commerce France-Lituanie | French Lithuanian Chamber of Commerce - CCFL

      Mar 2003 - Sept 2003
      Internship : Economic reports writer

      Writing auto-study courses about economy and business in Lithuania. Project sponsored and initiated by the European Commission during the EU enlargement in 2003

    • Amundi

      Sept 2005 - Apr 2006
      Risk Analyst
    • Natexis Asset Management

      Jan 2006 - Jan 2007
      Risk Manager
    • Natixis Asset Management

      Apr 2006 - Oct 2013

      • Launch of new Mutual Funds, monitoring of the fixed income product range (launch of funds based on following strategies: currencies, Credit, equity, money market funds, SRI and micro finance…)• Project management - coordination of sales, legal, risk and front office teams • Implementation and administration of fund’s statistical market price coherence control• Investigation of investments constraints violations and breaches resolution • Portfolio Engineering (quantitative analysis, allocation, strategy and UCITS Rules)• Key contact for front officers on legal and investments questions

      • Product Manager

        Jan 2011 - Oct 2013
      • Risk Manager

        Apr 2006 - Apr 2011
    • Ostrum Asset Management

      Nov 2013 - Nov 2016
      Senior Investment Risk Manager

      Located among fixed income investment team / Participation in investment committees • Review and validation of new investment process strategies (credit, govies, aggregate, inflation, money market, private loans…) • Test and validation of quantitative models. Audit of the portfolio monitoring front office tools• Monitoring of risk indicators (credit, counterparty, and market stress tests indicators …)

    • VEGA Investment Managers

      Nov 2016 - Mar 2019
      Head of Risk Management & Internal Audit

      Direct management and member of Executive Committee- Risk Management• Drive investment Risk Control implementation in compliance with regulatory guidelines and Group standards• Monitor the whole investment risk: market, credit, liquidity, performance, ESG - Internal Audit• Lead controls, identify noncompliance situations and establish recommendations (annual plan of 50 controls covering the broad Firm activities)• Coordinate execution of internal controls missions and reporting Show less

    • Natixis Investment Managers

      Mar 2019 - now
      Audit Manager

      • Coordinate the audit teams and mission tests to ensure efficient risk coverage• Review scope, testing plan, and identification of key risks and controls• Oversee development of testing plan, identify noncompliance situations and establish recommendations • Provide feedback to Auditors/Senior Auditors and complete performance reviews• Define and deliver training sessions of interest to the Internal Audit Department• Provide Natixis Group’s top management with assessment conclusions• Develop audit reporting Show less

  • Licenses & Certifications

    • Financial Risk Manager

      Global Association of Risk Professionals (GARP)
      Jun 2025
    • CAIA

      CAIA Association
      Sept 2008