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Real Estate Risk and Compliance Officer M/F


Vacancy details

General information

Entity

Amundi is Europe's largest asset manager by assets under management and ranks in the top 101 globally. It manages 1.476 trillion2 euros of assets across six main investment hubs3. Amundi offers its clients in Europe, Asia-Pacific, the Middle East and the Americas a wealth of market expertise and a full range of capabilities across the active, passive and real assets investment universes. Clients also have access to a complete set of services and tools. Headquartered in Paris, Amundi was listed in November 2015.
Thanks to its unique research capabilities and the skills of close to 4,500 team members and market experts based in 37 countries, Amundi provides retail, institutional and corporate clients with innovative investment strategies and solutions tailored to their needs, targeted outcomes and risk profiles.

1 Source IPE “Top 400 asset managers” published in June 2018 and based on AUM as of end December 2017
2 Amundi figures as of March 31, 2018
3 Investment hubs: Boston, Dublin, London, Milan, Paris and Tokyo   

Reference

2019-43605  

Publication date

03/12/2019

Job description

Business type

Types of Jobs - Risk Management / Control

Contract type

Permanent Contract

Expected start date

01/11/2019

Management position

No

Job summary

The Real Estate Risk and Compliance Officer will primarily cope with risk related tasks in relation to the Company’s real estate linked fund business to ensure compliance with the regulatory and internal guidelines, in order to identify, monitor and report on an ongoing basis all risks related to the funds. The Real Estate Risk and Compliance Officer will ensure the efficient execution of the daily business as well as project related tasks, minimize possible error-sources and coordinate responses for ad-hoc requests/tasks. The goal is to ensure a high quality across the whole risk and compliance monitoring process and actively increase the quality continuously.

  • Support the Head of Risk Management, the Head of Compliance and the Conducting Officer responsible for Risk Management and Compliance
  • Act independently and being the first point of contact for all risk and compliance related topics in the Real Estate area.
  • Ensure adequate reporting of all real estate risk and compliance related topics to the Board of Directors, relevant Committees, Senior Management and local Regulator.
  • Validate systems, applications and methodologies used for real estate risk measurement, and periodically assess their adequacy with respect to relevant changes in the Amundi business, regulatory and industry environment
  • Liaise with the Board of Directors, relevant Committees, Internal and external Auditors, Senior Management, Regulator and Business functions for any real estate risk management and compliance related matter
  • Coordinate and ensure correct execution of the daily business and oversee the risk reporting
  • Develop, implement and maintain efficient controls in all areas covered by the Risk Management and the Compliance departments in the Real Estate area
  • Plan, execute and monitor project relate and ad-hoc requests/tasks like analytical research and risk management related analysis 
  • Establish, maintain, implement and review frequently the policies and procedures related to valuation of assets of the real estate portfolios. Produce risk analysis on valuation of real estate assets and ensure relevant valuation risk reporting
  • Update the company’s real estate operational risk mapping
  • Contribute to the validation of the company’s new investments/funds. Produce and presentation of Risk Advises to the Investment and development committees
  • Assist the Risk Business line in the risk analysis and risk advice production
  • Ensure accurate documentation of processes and reporting to Senior Management, Board of Directors and Regulator
  • Perform due diligence on delegated risk management activities
  • Contribute to the prevention and mitigating non-compliance risks: issue compliance advice on clients or operations of different risk and complexity profiles, escalate unusual operations internally, produce advice and recommend solutions
  • Define and deploy compliance policies and procedures

Position localisation

Geographical area

Europe, Luxembourg

City

Luxembourg

Candidate criteria

Minimal education level

Bachelor Degree / BSc Degree or equivalent

Academic qualification / Speciality

University Degree (finance, mathematics or similar) and relevant professional experience

Level of minimal experience

6-10 years

Experience

- Minimum of 5-7 years of experience in the banking/financial sector
- Notions in the compliance area would be an asset

Required skills

- Excellent knowledge of the Luxembourg fund industry as well as the local UCITS & AIFMD regulation
- Good knowledge of professional risk management systems and best market practice regarding standard risk measures & models

Technical skills required

- Excellent practical knowledge of MS Office suite (Excel, Access, Word, PowerPoint)

Languages

- Fluent in English, with any other major European language being an advantage