

The VP-level Data Risk & Privacy Manager will develop, implement, and operate the Natixis CIB Americas Data Risk Management and Privacy Program, working closely with Information Security, Legal, and Compliance to ensure data protection and regulatory compliance. Key responsibilities include setting standards, reviewing policies and procedures, monitoring regulatory changes, conducting independent assessments, tracking data/privacy risks, and delivering privacy training.
Lead the setup and ongoing management of operational controls, procedures and daily treasury/branch operations for the Taiwan branch, ensuring compliance with group policies and local regulations. Oversee regulatory reporting, team performance and risk controls while driving efficiency improvements, automation and strong partnerships with front office and regional support functions.
The Corporate Client Affairs Officer will join Transaction Banking Client Services within Natixis CIB's Global Trade to manage daily client relations, provide administrative support, and deliver cash management solutions. The role acts as the primary contact for a client portfolio, handles account management and cash placement processes, contributes to system optimization and security, and monitors risk on sensitive accounts. This fixed-term position is based in Marseille with hybrid/remote possibilities and requires knowledge of banking products and B2-level English.
Experienced multi-asset portfolio manager role at Ostrum Asset Management responsible for managing and implementing multi-asset investment strategies for institutional clients. The role involves participating in the investment process, collaborating with internal teams and stakeholders, and contributing to portfolio construction and risk management. You will join a dedicated team within a European asset management firm with a strong focus on liability-driven solutions.
Fullstack developer joining the Risk Monitoring team at Natixis CIB to design reliable technical architectures, write specifications, implement back-end (C#, Java) and front-end (Angular, React.js) components, and develop unit tests. Work in an agile environment with tools like Git, Jira, Confluence, Jenkins and Sonar, support production releases, and contribute to market risk-related projects from the Charenton-le-Pont office with hybrid remote flexibility.
Join Ostrum's Reporting team to collect and consolidate financial data, coordinate contributions across teams, and prepare clear financial reports for institutional clients' financial management committees. Ensure compliance with applicable regulations and collaborate with internal teams to guarantee data accuracy in a hybrid Paris-based role.
6-month London-based internship on a Rates Trading desk focused on developing and optimising trading tools and applications using Python and spreadsheet technologies for fixed income products (Interest Rate Swaps, Inflation Swaps, Bonds). The role includes building pricing and risk management models, creating trader-facing apps (e.g., Dash, Streamlit, PYXLL, VBA), automating reporting and operational tasks, and troubleshooting/optimising existing tools while working closely with traders.
Join Natixis CIB Internal Audit to evaluate risk measurement, internal controls, business process robustness and governance across corporate and investment banking activities. You will work on audit missions in France and international locations, produce prioritized recommendations, and support a Head of Mission within an international, hybrid work environment based in Paris. The role requires audit methodology expertise, CIB knowledge and strong analytical and communication skills.
6-month internship in the treasury team as Assistant Trader Structured Emissions supporting the booking and validation of term sheets and coverage in systems (Summit, Sophis, Murex). The role involves interacting with Middle/Back Office, Calculation Agent, Legal and PnL, and producing regulatory and financial reports using VBA/Access/SQL. Suitable for a Bac+4/5 finance student with financial mathematics knowledge and fluency in English.
6-month internship within the Rate and Liquidity Management team of Natixis CIB's Long-Term Treasury starting in February. The intern will build VBA pricers and tools, support traders on pricing, and liaise with back and middle office in a front-office environment. The role is geared to a Bac+5 finance student with strong logical skills and fluent English.
6-month internship in Compliance at Natixis Interépargne based in Caen starting February 2026. Responsibilities include KYC/customer due diligence, AML/CFT and sanctions monitoring, level 2 controls, producing control reports, issuing and tracking corrective measures, and improving control methodologies while collaborating with Client Services and Commercial teams.
10-week summer internship at Natixis CIB providing hands-on finance experience through a two-desk rotation, working on concrete projects with industry experts. The program includes mid and end evaluations, exposure to Investment Banking verticals and is a primary source for hiring into two-year Program Analyst roles.
Six-month internship (starting March/April 2026) in Natixis CIB's Counterparty Risk Modeling division to work as a quantitative analyst on diffusion models of indexed option prices on Bitcoin using neural networks. Tasks include benchmarking results against internal methodologies used in counterparty risk calculations and implementing a robust backtesting framework to evaluate model quality across time windows and market regimes. The role requires strong Python (TensorFlow/Keras), knowledge of stochastic calculus and volatility models, and fluency in English.
Six-month internship as a Responsible Investment (RI) Project Manager within AEW's Funds and Mandates department, starting February 2026. The role supports implementation and monitoring of ESG strategies, RI procedures and reporting, RI asset evaluations and exemplary operations, automation of reporting, training, and participation in RI initiatives and industry groups.
Join the Fixed Income credit coverage team to support distribution of public deals and private placements across Investment Grade and High Yield for clients in Italy, Ticino and Greece. The role involves building relationships with clients (banks, insurers, asset managers), collaborating with trading, syndicate, DCM, research and GSF teams, and contributing to secondary market development and funding opportunities.
The Sales Manager role involves building and maintaining client, vendor, and dealer relationships in Hungary and the region, managing portfolios and entering new market segments. The position requires coordinating project approvals, supporting partnerships, implementing financing models, and participating in sustainable finance initiatives.
The Database Administrator will maintain and optimize database systems, participate in major business and technical projects, and provide expertise on database architectures. The role requires autonomy and technical knowledge in a diverse technological environment with agile methodology.
The Front Office IT Business Analyst will support and design IT solutions for Global Markets & Risks activities by gathering requirements from traders, creating mockups, coordinating testing, and providing functional support. The role requires close collaboration with front office teams and developers, with a strong understanding of financial products and agile methodologies.
The Front Office IT Business Analyst (Support) role involves supporting and analyzing IT solutions within the front office environment. The position requires collaboration with various stakeholders to ensure efficient IT operations and business alignment.
Natixis is seeking a VP-level Portfolio Manager to manage the Loan Portfolio for the Americas Book, focusing primarily on Corporate portfolio management along with Infrastructure and related banking products. The role involves credit quality monitoring, financial model maintenance, and collaboration with various departments to manage credit risk and portfolio optimization. The position is based in New York and requires experience in portfolio management and credit analysis.
The IT Business Analyst will collaborate with business users to gather requirements, conduct analyses, and coordinate testing while acting as a Proxy Product Owner managing the product backlog. The role involves supporting booking and back office applications in the Fixed Income Booking and Post-Trade domain within an Agile environment.
The Sales Support Specialist supports Account Managers and Commercial Channels with daily operations related to leasing requests, including uploading data into IT systems and ensuring compliance with AML procedures. The role involves collaboration across internal teams, performing KYC/KYP, and contributing to business process improvements.
The Account Manager – Technology Business is responsible for developing and supporting vendors in originating and managing new business opportunities, ensuring compliance with company policies and risk management. The role involves managing vendor relationships, meeting business targets, and coordinating internal processes to support vendor financing solutions.
The Sales Manager will build and maintain strong client, vendor, and dealer relationships to expand Groupe BPCE's footprint in Hungary and the region. The role involves managing portfolios, coordinating project approvals, supporting new partnerships, and participating in sustainable finance initiatives.
The role involves managing a portfolio of Large and Mid-Cap corporate clients within the Corporate Portfolio Management France/EMEA team. Responsibilities include credit risk analysis, preparing credit award files, developing sector expertise, and participating in portfolio optimization and risk anticipation. The position is based in Paris with remote work options.
This is a 6-month internship starting March 2026 for a Financial Lawyer within Natixis' Equity Derivatives & Securities Financing team. The intern will assist lawyers with transactions, legal research, documentation drafting, and legal analysis in an international environment. The role offers experience in financial markets law with opportunities for professional development and societal engagement.
Lead and oversee IT Security, Controls, Change Management, Incident Management, Disaster Recovery Planning, and Remediation functions for Natixis CIB Americas IT department. Manage a team focused on IT risk and security while ensuring compliance with company and regulatory standards. Engage with senior management and regulatory bodies to maintain a robust technology risk posture.
This 6-month internship starting February 2026 offers the opportunity to work as a Management Control Assistant within Ostrum Asset Management's Financial Control - Accounting and Management Control department. The role involves tasks such as financial data reliability control, assisting in regulatory reporting, pricing control, and working with auditors. The internship provides experience in an international environment with expert colleagues and benefits including a stipend and transport refund.
Join the Pre-Trade Tech Convergence team to support the technical transformation by developing common components for business lines. Collaborate closely with IT developers and business teams to enhance efficiency and deliver quality functional documentation and testing in an agile environment. This role is based in Paris with remote work opportunities.
Join the IT team GBCR FinOps as a Java developer intern for 6 months starting April 2026. You will assist in designing, developing, and testing Java applications focused on AI use cases in banking, collaborate on functional and technical specifications, and work with SQL and automation tools to improve data workflows.
The Risk and P&L Analyst will join the CCA team within Market and Counterparty Risk to validate, control and analyze daily risk indicators and P&L for Credit Market activities (including VaR and stressed VaR). The role involves monitoring quantitative limits, performing weekly stress test reviews, and consolidating reports for stakeholders including the ECB. The position is based in Paris with hybrid/teleworking options.
Six-month assistant trader internship starting January/February 2025 within the GFS Solutions team, primarily focused on equity products. The intern will assist traders with daily trading operations, participate in valuations with funds, and develop decision-making tools while working closely with a tutor.
Natixis seeks a V.I.E. Quantitative Analyst/Developer to support the Stocks Solutions and Index Trading team in New York. The role involves developing front-office tools, assisting traders with global toolsets, providing quantitative product analysis, pricing and risk reporting, and collaborating with global teams across Paris and Hong Kong.
The Letters of Credit Technician processes issuance, advising, confirmation, amendments and payments for documentary and standby letters of credit, ensuring compliance and timely execution. The role includes reconciliation, client invoicing, stakeholder liaison and adherence to regulatory requirements such as OFAC and AML. It requires accuracy under time constraints and strong collaboration with Middle/Front Office, Compliance and Finance teams.
Six-month ESG Strategist internship starting March 2026 within Ostrum AM's Sustainable Transitions Management team. The intern will conduct issuer ESG analyses, support exclusion committee preparation, engage in issuer engagement work, perform ESG benchmarking, and contribute to reports and internal presentations.
Six-month internship within Mirova's Investor Relations and Calls for Tenders team starting February 2026. The intern will assist in drafting and coordinating responses to RFPs and due diligence, maintain consultant databases and RFP libraries, and support investor relations tasks including reporting, client requests, and organizing meetings/roadshows.
Join the Post Trade Equity Risk Metrics team to provide functional support and contribute to the production and evolution of equity sensitivity and stress test metrics using Sophis Equity. You will support users, propose solutions, help deliver the team roadmap and monitor related projects within an agile Global Markets IT environment.
6-month legal internship within AEW's Real Estate Transactions – Corporate – Litigation team based in Paris. The intern will support lawyers on real estate transactions, asset management, corporate matters and litigation, draft and negotiate contracts in English and French, participate in corporate governance and assist with legal research and regulatory monitoring.
The role sits within Natixis CIB's Global Trade Transaction Banking team, focusing on corporate cash management solutions for corporate and institutional clients. Responsibilities include implementing commercial action plans, regional coverage and business development, deepening client relationships, ensuring compliance and risk policies, and coordinating cross-functional work to drive digitisation and client loyalty. The position is based in Paris with hybrid/remote working options.
Six-month internship as a Quantitative Analyst on Reverse Stress Tests within the Market ST team, starting April 2026. The role involves researching risk metrics, studying derivative pricing models, and evaluating machine learning algorithms to improve stress testing and risk calculation workflows.
Six-month business analyst internship within the Amethyst market risk monitoring team starting February 2026. The role involves working with traders and the data platform to analyze sensitivity indicators, query data using SQL and support application development in a Big Data context.
Lead and manage a small IT team responsible for structural balance sheet risk management solutions, developing a high-performance C#/SQL/Angular platform. Act as technical lead coordinating with the Product Owner, designing and implementing features, ensuring data collection and producing reporting and visualizations.
Join AEW's Compliance and Internal Control team to perform KYC and AML-CFT controls, support implementation of the internal control plan, contribute to risk mapping and reporting, and participate in audits and governance committees. The role is based in Paris with hybrid/remote flexibility and requires collaboration across operational teams and stakeholders. It emphasizes regulatory compliance for alternative funds and managing related projects and service providers.
Join the Valuation Risk – Credit & XVA team to monitor, analyze and support trading desks on Credit and XVA valuation parameters, perform Market Value Adjustments and calibrate shocks for market reserves. The role involves backtesting, interaction with multiple risk and modelling teams, and contributing to the bank's valuation risk framework in an international, hybrid environment.
Experienced Fullstack Software Engineer role focused on Java, React JS, PostgreSQL and Azure. The role involves full-stack development, applying software craftsmanship practices (TDD, CI), participating in agile ceremonies, and supporting production with a "you build it, you own it" principle.
Support the pricing, structuring and pitching of structured products for clients in Italy and Ticino, working across equity derivatives, credit and fixed income. Collaborate with trading, risk, legal and compliance teams, maintain issuances, and build relationships with private banks, insurers and asset managers. Conduct market research to inform sales strategy and identify opportunities.
Six-month internship within the Valuation Risk – Credit & XVA team starting April 1, 2026. Tasks include calibration and monitoring of valuation metrics (FairVA/PVA, IPV), observability/backtesting studies, and contributing to data parsing and machine learning model development to structure market data.
Six-month internship in the Primary team of Global Securities Settlement at Natixis CIB. The role involves ensuring documentation conformity, validating and confirming operations in systems, monitoring settlement/delivery across French and international markets, resolving discrepancies with counterparties, performing reconciliations and developing activity reporting.
Develop, implement and maintain IRB (PD, LGD, EAD) and IFRS 9 credit risk models for Italian BPCE entities, including data analysis, calibration and validation. Support regulatory reviews, internal validation, model governance and cross-functional collaboration to ensure regulatory-compliant model documentation and performance monitoring.