Antoine Marivin

Antoine Marivin

Internship: Risk Analyst & Coordinator (Corporate and Retail risk)

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  • Timeline

  • About me

    Credit Officer - Hedge Funds & Asset Managers (Vice President)

  • Education

    • ESG Management School (now called "PSB" - Paris School of Business)

      2011 - 2013
      Master's degree Finance
    • ESG Management School

      2008 - 2011
      Bachelor of Business Administration (B.B.A.) Management
    • Warwick Business School

      2010 - 2011

      Third year exchange

  • Experience

    • BNP Paribas

      Jun 2012 - Dec 2012
      Internship: Risk Analyst & Coordinator (Corporate and Retail risk)

      Working for a transversal team leading various credit-related projects for the corporate and retail risk stream.

    • BNP Paribas

      May 2014 - Mar 2020

      - Credit analysis and approvals on financial institutions, specialised in asset managers (funds + agency mandates), pension funds, investment banks, broker-dealers and other NBFIs - covering mainly UK clients. I also have experience in analysing commercial banks, private equity funds and hedge funds.- Delegation to approve exposure/credit lines on behalf of BNPP.- Helped build Global Market's new LDI activity with pension funds and asset managers, including the approval of risk envelope by senior mgmt- Recruitment and training of the team's juniors- Resident expert on LDI, UK Pension Funds and NBFI- Analysis and monitoring of exposures from a wide spectrum of financial products: settlement/clearing/custody services, derivatives (FX, CDS, IRS, EQD, etc), repo, prime brokerage, trade finance…- Preparation of credit committees and providing recommendations to delegation holders for annual reviews and ad hoc requests.- Due diligence visits/calls with clients.- Knowledge of legal master agreements and negotiation of credit terms (ISDA/CSA, GMRA, GMSLA…)- Working closely with front office, coverage, client on-boarding and other Risk teams.- Good understanding of European regulations: UCITS, AIFMD, UK NURS, new AMF French banking law (Loi SRAB), Basel II, MiFID... Show less

      • Credit Risk Analyst - Funds and Financial Institutions

        Jan 2016 - Mar 2020
      • Credit Risk Analyst - Regulated Funds / Asset Managers

        May 2014 - Jan 2016
    • BNP Paribas

      Jun 2022 - now

      Delegation holder approving counterparty risk and credit lines to hedge funds and regulated funds/asset managers. Built a brand new platform of 19 credit risk analysts in Montreal, covering all types of Financial Institutions (Hedge Funds, Asset Managers, Banks, Brokers, Insurance...). I personally covered a portfolio of clients composed mainly of hedge funds, pension funds and broker-dealers. Managing credit risk analysts based in NY and Montreal covering regulated funds/real money asset managers. I took on this segment while keeping my responsibilities as Montreal platform head.This team had been without a manager for 7 months, was not meeting policy requirements and had a backlog of 1000+ counterparties to review.We re-trained the analysts, remediated the backlog and strengthened culture and morale.

      • Credit Officer - Hedge Funds & Asset Managers (VP)

        Jul 2023 - now
      • Head of Montreal platform (VP) - Credit Team

        Mar 2020 - Jul 2023
      • Americas Head of Asset Managers - Credit Team

        Jun 2022 - Jan 2023
  • Licenses & Certifications

    • Sustainability Essentials for Business

      University of Cambridge
      Oct 2021