Tony Crudu

Credit risk manager

Greater Paris Metropolitan Region

About

Plus de 10 ans d'expérience en Credit Risk Management, Commodities, Back/Middle-office...

Experience

  • Senior Credit Risk Manager at Alpiq
    Nov 2024 - Present · 1 yr 9 mos

  • Head of Back & Middle-Office - Leyton Financial Services at Leyton
    Jan 2022 - Aug 2024 · 2 yrs 8 mos

    -Commodities Derivatives Department (European Allowances) -Participation in the creation of Leyton Financial Service (CO2 trading entity regulated by the French Regulator) -Implementation of process and procedure allowing the start of this new activity. -Recipes and application settings: Orchestrade -Regulatory reporting (EMIR / MIFID) -Monitoring PNL, VAR, Confirmation, Treasury, Accounting…

  • Senior Credit Risk Manager Commodities dpt at Societe Generale Corporate and Investment Banking - SGCIB
    Jun 2013 - Dec 2021 · 8 yrs 7 mos

     Commodities Derivatives Department.  Client Credit Risk Monitoring (CVAR / Debtor / Delivery).  Creation and analysis of dashboard.  Facilitation of bi-weekly Credit Risk Committee,  Follow up sectorial/country risk. .  Team leader (5 employees, London / Casablanca / Singapore).

  • Credit Risk Analyst at Société Générale
    Jun 2009 - May 2013 · 4 yrs

    Perimeter: small and medium-sized enterprise. Credit analysis, validation of line request. Performance management (dashboard, stats.) of the department activity.

  • Societe Generale Corporate and Investment Banking - SGCIB (8 yrs 7 mos)
    • Credit Risk Manager Commodities dpt
      Jun 2004 - May 2009 · 5 yrs

      Commodities Derivatives Department. Onboarding (KYC, Credit Line Request, Legal). Client/Country risk exposure monitoring (CVAR / CAR...)

    • Deputy Manager Commodities derivatives Back Office
      Nov 2000 - May 2004 · 3 yrs 7 mos

      Confirmation management, payment/delivery Team management (10 employees)