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Moteur de recherche d'offres d'emploi Amundi

Risk Manager M/F


Vacancy details

General information

Entity

Amundi, the leading European asset manager, ranking among the top 10 global players [1], offers its 100 million clients - retail, institutional and corporate - a complete range of savings and investment solutions in active and passive management, in traditional or real assets.

With its six international investment hubs [2], financial and extra-financial research capabilities and long-standing commitment to responsible investment, Amundi is a key player in the asset management landscape.

Amundi clients benefit from the expertise and advice of 5,300 employees in 35 countries. A subsidiary of the Crédit Agricole group and listed on the stock exchange, Amundi currently manages more than €2.0 trillion of assets [3].

Amundi, a trusted partner, working every day in the interest of its clients and society

[1] Source: IPE “Top 500 Asset Managers” published in June 2022, based on assets under management as at 31/12/2021
[2] Boston, Dublin, London, Milan, Paris and Tokyo
[3] Amundi data including Lyxor as at 31/03/2022


By working every day in the interest of society, we are a group committed to diversity and inclusion. All our positions are open to people with disabilities.  

Reference

2024-91081  

Publication date

08/07/2024

Job description

Business type

Types of Jobs - Risk Management / Control

Job title

Risk Manager M/F

Contract type

Permanent Contract

Expected start date

01/08/2024

Management position

No

Job summary

To be in charge of Risk monitoring in line with FSA’s Guidelines for Supervision/Inspection Manual and Amundi Group procedures, that is:

  • Global oversight on the various risks: market and liquidity risk, regulatory and contractual risk, credit & counterparty risk, valuation risk, operational risk.
  • Definition of upstream risk framework: build and update internal risk policies, participate in and approve new product schemes, analyze and monitor risks of new activities.
  • Control of compliance with regulatory and contractual guidelines and with internal risk policies: set up and carry out controls, monitor breaches, (manage escalation and derogation process).
  • Build and follow up action plans for specific risks identified (operational, commercial, financial, etc.)
  • Portfolio reviews: periodical business follow up and risk assessment on perimeter assigned, report sent to Senior Management.
  • Risk reporting: client and regulatory and internal report.
  • To back up other team member’s tasks.

Supplementary Information

Candidate should hold a Japan working Visa or have no restrictions on working in Japan

Position location

Geographical area

Asia, Japan

City

Tokyo

Candidate criteria

Minimal education level

Postgraduate degree – MA/MSc/PhD/Doctorate or equivalent

Academic qualification / Speciality

  • Master Degree in Finance.

Level of minimal experience

3-5 years

Experience

  • Master Degree in Finance
  • Minimum 2-5 years’ experience in Finance Industry
  • First experience within Asset Management/Capital Market appreciated.
  • Experience and knowledge on risk management and/or portfolio management is a plus.

Required skills

  • Pack Office (especially Excel), Bloomberg
  • Advanced knowledge in data management and quantitative works. VBA, SQL, Power BI, Tableau, Python.
  • Proficiency in Japanese/English (at business level)

Technical skills required

  • Pack Office (especially Excel), Bloomberg
  • Advanced knowledge in data management and quantitative works. VBA, SQL, Power BI, Tableau, Python.
  • Proficiency in Japanese/English (at business level)

Languages

Proficiency in Japanese/English (at business level)