Vie Investment Risk Analyst, Asset Management

il y a 2 semaines


Luxembourg, Luxembourg BNP Paribas Temps plein
VIE INVESTMENT RISK ANALYST, ASSET MANAGEMENT - LUXEMBOURG, H/F (NUMÉRO DE L'EMPLOI : V_AM_0048)

**VIE Investment Risk Analyst, Asset Management - Luxembourg, H/F**

**Concrètement votre quotidien ?**

Vous participez activement à la gestion des risques des fonds gérés au Royaume-Uni et travaillez en étroite collaboration avec les gestionnaires de portefeuille et les gestionnaires de risque.

Vous veillez à ce que les rapports sur les risques soient produits en temps opportun et tâchera de les améliorer en cas de besoin.

Vous aidez au développement de nouveaux outils et contribuez à l'élaboration de nouvelles méthodologies.

Vous vous assurez que les téléchargements de données requis pour tous les processus de gestion des risques se déroulent correctement et en temps opportun.

Vous maintenez un dialogue continu avec les gestionnaires de fonds, les gestionnaires de risque et la direction.

**L'environnement de travail, c'est important **

Vous serez en relation quotidienne avec les équipes de gestion basées au Royaume-Uni, les gestionnaires de risques basés au Luxembourg et au Royaume-Uni, les équipes de support des données, ainsi que BlackRock Solutions. Vous rapporterez directement au CRO de BNP Paribas Asset Management Luxembourg, et interagira régulièrement avec le CRO de BNP Paribas Asset Management UK.

**Et après ?**

Vous acquerrez des compétences en risque de marché, en asset management et en reporting.

**Pourquoi rejoindre BNP Paribas ?**

Notre monde change : notre manière de nous informer, de consommeret de travailler aussi Aujourd'hui, ce qui compte dans un job, c'est de vivre de véritables expériences, d'apprendre, de partager objectifs et résultats avec ses collègues. Bref, de tracer son propre chemin, différent, responsable et durable. Chez BNP Paribas, nous recrutons nos collaborateurs avec l'idée qu'ils nous vaideront à concevoir le monde et la banque de demain.

**Et la rémunération ?**

Elle est fixée par Business France et consultable directement sur leur site.

**Etes-vous notre prochain VIE ?**

**A vous de nous convaincre **

Vous êtes titulaire d'un diplôme obtenu en université ou en école de commerce ou d'ingénieur avec une spécialisation en finance, mathématiques ou économie.

Vous disposez de solides connaissances en analyse financière et de la performance et vous justifiez d'une expérience (stage et alternance inclus) en finance.

Vous parlez couramment anglais et français et maîtrisez parfaitement le Pack Office (Excel, Word, PowerPoint, OneNote).

De plus, votre adaptabilité et votre esprit d'équipe seront des atouts essentiels. Ajoutez à cela votre communication, votre capacité d'analyse et votre rigueur pour finir de nous convaincre.

Dans un monde qui change, la diversité, l'équité et l'inclusion sont des valeurs clés pour le bien-être et la performance des équipes. Chez BNP Paribas, nous souhaitons accueillir et retenir tous les talents sans distinction : c'est ainsi que nous construirons, ensemble, la finance de demain, innovante, responsable et durable.

Enfin, nous attachons une importance particulière à ce que nos futurs collaborateurs agissent au quotidien avec responsabilité éthique et professionnelle.

A tout moment pendant le processus de recrutement, les informations figurant sur votre CV, vos données d'identification et vos antécédents pourront être vérifiées.

**Durée et disponibilité**

Ce poste est à pourvoir dès que possible pour une durée de 18 mois.

**VIE Credit Analyst, Asset Managers and Hedge Funds - New York,** M/F**

**Your daily routine ?**

You will write credit reviews on "as agents", regulated funds, pension funds, foundations and other financial institutions. You will update databases and Excel sheets containing authorized funds under an "as agents" relationship.

You will interact with the front office on existing and new requests. You will assist in negotiating legal documentation, draft credit committee reports. You will control the value of funds' net assets.

You will organize local and global credit committee meetings. You will work on specific projects (research on problems related to credit risk, etc), coordinate with Paris and respond to problems related to the credit analysis monitoring system.

**The working environment is important **

The RISK Institutionals and Securities Services (RISK I2S) department, a RISK management entity, is in charge of credit and counterparty risks for all financial institutions that are BNP Paribas counterparties.

The credit team is responsible for the credit analysis of financial institutions including regulated funds, hedge funds, pension funds, banks, brokers, insurance companies, and other financial institutions. The daily tasks of the credit analysts include: interaction with the players in the trading room, due diligence meetings, daily recommendations to heads of delegation, active pa
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