Informations générales
Entité
Le Groupe Indosuez Wealth Management est la marque mondiale de gestion de fortune du groupe Crédit Agricole, 10ème banque au monde par la taille des actifs (the banker 2022).
Suite à l'acquisition de Degroof Petercam, banque belge de premier plan, le Groupe Indosuez Wealth Management intègre le Top 10 des acteurs du secteur de la gestion de fortune en Europe avec plus de 200 milliards d'euros d'actifs sous gestion.
Façonné par plus de 145 ans d'expérience, le Groupe Indosuez Wealth Management accompagne des grands clients privés, des familles, des entrepreneurs et des investisseurs professionnels du monde entier en leur proposant un continuum de services et d'offres intégrant Conseil & Financement, Solutions d'investissement, Fund servicing & Solutions technologiques et bancaires.
Le Groupe Indosuez Wealth Management détient majoritairement la société Azqore, filiale qui apporte une solution technologique complète et intégrée ainsi que des services d'opérations bancaires aux acteurs de la gestion de fortune.
Distingué pour sa dimension à la fois humaine et résolument internationale, le Groupe Indosuez Wealth Management rassemble 4 500 collaborateurs dans 16 différents territoires en Europe, Asie-Pacifique, Moyen-Orient et Amérique du nord.
www.ca-indosuez.com
Référence
2025-102332
Date de parution
26/07/2025
Description du poste
Type de métier
Types de métiers Crédit Agricole S.A. - Risques / Contrôles permanents
Intitulé du poste
Risk Officer (V.I.E) H/F
Type de contrat
VIE
Date prévue de prise de fonction
01/10/2025
Poste avec management
Non
Cadre / Non Cadre
Non cadre
Missions
Within the permanent risk management function of the management company, identify, measure, and manage the risks of UCIs. Perform all tasks linked to risk management activities and investment compliance monitoring for both UCITS and AIF structures for which CAIFS acts as the Management Company or Alternative Investment Fund Manager.
Key responsibilities :
- Daily risk monitoring, analysis and assessment for each UCI the exposure of the UCI to market (VaR), leverage, credit, liquidity and counterparty risks, as well as exposure of the UCI to any other risks, including operational risk
- Conduct periodic portfolio stress tests, scenario analyses and back tests
- Implementation, monitoring and maintenance of investment restrictions in line with legal, regulatory or contractual requirements; assessment and classification of breaches; follow-up of compliance issues to ensure prompt resolution
- Eligibility checks according to UCITS requirements
- Producing, delivering and enhancing of risk analytics and risk management reports
- Maintaining input and data quality of the risk management systems
- Continuous challenge, maintenance and development of existing processes and data collection
- Contributing to the development and implementation of risk management policies, procedures, and controls
- Producing regulatory reporting to the CSSF under UCITS & AIFMD regulation
- Setting up and monitoring post-trade compliance checks including ESG-related rules (Bloomberg AIM / Confluence Revolution)
- Providing advice to clients’ issues and requests on ad-hoc investment product eligibility analysis
- Participating and contributing to the Risk Management meetings
- Completing risk assessments of potential investments, identifying key risks and potential mitigating factors, in order to assess their overall impact on the portfolio
- Performing ad-hoc analyses and reporting to help address real-time demands from senior management and portfolio managers
- Contribution during fund/client on-boarding process, ad-hoc requests or (risk) project work
Localisation du poste
Zone géographique
Europe, Luxembourg
Ville
LUXEMBOURG
Critères candidat
Niveau d'études minimum
Bac + 5 / M2 et plus
Formation / Spécialisation
- Master’s degree in Finance, Economics, Mathematics or Physics
Niveau d'expérience minimum
0 - 2 ans
Expérience
- Experience in Funds industry or in a management company with focus on Risk Management, preferably for both UCITS and AIFs
Compétences recherchées
- Advanced knowledge of financial instruments, investment funds and risk management models
- Very good knowledge of regulatory and legal requirements (e.g. UCITS, AIFMD)
- Proficiency in French, English - any other language is an asset
- High commitment, motivation and willingness to take on responsibility
- Flexible and stress resilient committed team player with the ability to work autonomously
- Diligent, quantitative, analytical and rational way of working with the ability to prioritize and to keep deadlines
Outils informatiques
- Knowledge of Confluence Revolution and Bloomberg AIM modules
- Good command of MS Office (Word, Excel, PowerPoint) and Visual Basic for Application (VBA)
Langues
Proficiency in both French and English