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Product Implementation Officer H/F M/F


Détail de l'offre

Informations générales

Entité

Premier gérant d'actifs européen parmi les 10 premiers acteurs mondiaux (1), Amundi propose à ses 100 millions de clients - particuliers, institutionnels et entreprises - une gamme complète de solutions d'épargne et d'investissement en gestion active et passive, en actifs traditionnels ou réels. Cette offre est enrichie de services et d'outils technologiques qui permettent de couvrir toute la chaîne de valeur de l'épargne. Filiale du groupe Crédit Agricole, Amundi est cotée en Bourse et gère aujourd'hui près de 2 300 milliards d'euros d'encours (2). Ses six plateformes de gestion internationales (3), sa capacité de recherche financière et extra-financière, ainsi que son engagement de longue date dans l'investissement responsable en font un acteur de référence dans le paysage de la gestion d'actifs.
Les clients d'Amundi bénéficient de l'expertise et des conseils de 5 500 professionnels dans 35 pays.
Amundi, un partenaire de confiance qui agit chaque jour dans l'intérêt de ses clients et de la société.

(1) Source : IPE « Top 500 Asset Managers » publié en juin 2025 sur la base des encours sous gestion au 31/12/2024
(2) Données Amundi au 30/06/2025
(3) Paris, Londres, Dublin, Milan, Tokyo et San Antonio (via notre partenariat stratégique avec Victory Capital)  

Référence

2026-108682  

Date de parution

13/02/2026

Description du poste

Type de métier

Types de métiers Crédit Agricole S.A. - Gestion d'Actifs

Intitulé du poste

Product Implementation Officer H/F M/F

Type de contrat

CDD

Durée (en mois)

max 11 months

Date prévue de prise de fonction

01/04/2026

Poste avec management

Non

Missions

The Product implementation Team is based in Luxembourg and get the relationship with third party service providers in the context of the product events involving the Luxembourg funds.

In the context of a temporary replacement (11 months), we are looking for a new member to join this team.

Your responsibilities:

Fund events, product implementation and operations

  • Coordinate and plan fund launches and all material fund events (liquidations, mergers, restructurings, dividend distributions, etc.) with internal and external stakeholders .
  • Produce and maintain kick‑off documentation and event checklists and keep project timelines up to date.
  • Ensure delivery of technical information required to execute events and verify post‑implementation completeness.
  • Perform daily monitoring of operations for active initiatives and propose corrective measures as needed.
  • Manage cash and securities account openings in non‑standard (“exotic”) jurisdictions and coordinate closures or name/legal‑representative changes in compliance with local requirements.
  • Maintain and update the NAV calendar
  • Use standard templates (e.g., W‑Ariane) and save Sphere notes and related documentation in the designated repository
  • Serve as the primary contact for external providers and internal stakeholders for product events and ongoing product maintenance.
  • Advise management, marketing officers and product specialists on technical and operational feasibility and implications of proposed projects.

Regulatory, legal and documentation control

  • Critically review prospectus amendments and ensure uploads of legal documents to Amundi websites and repositories in a timely, compliant manner.
  • Maintain annual checks on share class OGC consistency umbrella funds under your responsibility.
  • Provide support for regulatory reporting and requests (SAQ, CSSF ad‑hoc requests, surveys, ISAE3402 certification reporting).

Tax coordination and oversight

  • Coordinate all tax matters for assigned funds and maintain ongoing engagement with the tax advisory. Ensure timely, proactive communication on tax issues and required documentation.
  • Oversee tax processes during the full lifecycle of funds, including renewals (FPI registration etc), tax reclaims follow‑up, and country‑specific controls (e.g., monthly review of Indian capital gains tax).
  • Ensure new funds and relevant events are included in local tax review processes.

  •  Coordinate investor‑related tax documentation and ensure signature and retention of required documents in key jurisdictions (UK, Austria, Denmark, Switzerland, etc.).

Controls, reporting and governance

  • Maintain a clear audit trail for all product changes and ensure documents are stored consistently in the shared repository.


 Continuous improvement and discretionary tasks

  • Propose and implement process improvements to enhance operational efficiency and control.
  • Support ad‑hoc tasks as required by management and retain flexibility to adapt duties as business needs evolve.

Localisation du poste

Zone géographique

Europe, Luxembourg

Ville

Luxembourg

Critères candidat

Niveau d'études minimum

Bac + 3 / L3

Formation / Spécialisation

University Degree and relevant professional experience

Niveau d'expérience minimum

6 - 10 ans

Expérience

Minimum of 5 years of experience in the banking/financial sector, preferably in the fund industry and in operations / project positions

Compétences recherchées

  • Good knowledge of the Luxembourg fund industry
  • Autonomy
  • Interpersonal skills and team spirit
  • Ability to put things into perspective and anticipation
  • Practical problem-solving attitude
  • Intellectually curious

Outils informatiques

  • Good knowledge of Excel functions & self-intuitive in the use of the Internet and new technologies
  • Excellent practical knowledge of MS Office suite (Excel, Access, Word, PowerPoint)

Langues

Fluent in English, French and any other major European language being an asset