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Resume Rachid Mamdouh


Passionate about finance, economy, stock market and more particularly on derivatives and structured products, I appreciate being on a multicultural and international environment. Following my internship within Natixis, my objective is to integrate a company for a graduate program/ analyst position, key requirement in order to start my professional career and integrate an investment bank as a derivatives and/or structured products sales trader analyst.

Professional experiences

Cross asset structuration trainee


From February 2019 to Today

• Structure innovative products with a focus on all structuring aspects involving inter alia, regulatory, legal, fiscal, accounting and financial aspects
• Contribute to product launches and transaction management, execution including presentations
• Summarise cashflows, bookings and preparation of transaction records for internal audit purposes
• Review of termsheets for Sharia compliant products, run a Sharia screening process for stocks
• Answer day-to-day questions related to CDS, maintain and improve CDS documentation database

Equity derivatives structuration and sales trading intern

NATIXIS , London

From May 2017 to April 2018

Internship- front office support equity otc derivatives and structured products events team

HSBC Global Banking and Markets , Paris

From October 2016 to April 2017

Wealth manager and wealth engineer assistant

HSBC France , Nice - Internship

From January 2014 to June 2014

• Prepare the client interviews with the wealth managers and engineers
• Realize commercial focus on the customer database
• Prepare commercial proposition, analyses, economics and financial forecast, arbitrages
• Study and mounting loans (corporate, real estate and consumer)
• Analyse and compare the branch performances
• Prepare and organize events

Additionals trainings

Master 1

Panthéon-Assas Paris 2 - economics and management, mention money, bank and finance

2014 à 2015

Financial assets pricing, macroeconomics and financial forecast, time series, portfolio management and theory, financial analysis, monetary economics and policy, international macroeconomics, mathematics for finance.

Master 2- Specialized MBA

ESLSCA - Trading- Gestion d’Actifs Asset Management

2015 à 2016


International University of Monaco – Bachelor of Business Administration – 2014


Français - Native or bilingual proficiency

Anglais - Native or bilingual proficiency

Arabe - Native or bilingual proficiency

Espagnol - Professional working proficiency

Russe - Elementary proficiency


MS Office


  • Sport
  • reading
  • music and cooking