Type de métier
Types de métiers Crédit Agricole S.A. - Risques / Contrôles permanents
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Intitulé du poste
Senior Risk Officer H/F
Type de contrat
CDI
Date prévue de prise de fonction
01/08/2023
Poste avec management
Non
Missions
Amundi Luxembourg is actively looking for its new Senior Risk Officer for its subsidiary Fund Channel!
Our company:
We are a regulated B2B fund distribution platform created in 2005, jointly-owned by founder Amundi and Caceis, based in Luxembourg.
We have been ranked as the best European platform two years in a row, in 2022 and 2023. (source: Platforum)
Our mission is to provide a unique combination of business models, and innovative services to facilitate fund distribution, strengthen transparency, and improve processes. We built a marketplace ecosystem to which Assets Managers and Distributors have access, and operate across a dozen different countries in Europe and Asia; and have offices in Switzerland, Singapore, and Italy.
We are based on solid human relationships with clients, partners, and regulators.
Your mission:
You will join the Risk department fully dedicated to Fund Channel S.A. and integrated with the risk and compliance business lines of the Amundi group. You will directly report to the deputy Chief Executive Officer.
You will be responsible for the following missions:
Manage the overall operational, credit, financial and liquidity risks of the investment firm
- Define, maintain and improve the investment firm’s risk appetite, policies and governance;
- Implement risk mapping and control plan for all the investment firm’s business areas;
- Ensure the investment firm will comply with the new regulations, group standards and risk monitoring control frameworks in collaboration with key stakeholders, implementing procedures and training staff;
- Ensure the investment firm will comply with the regulatory reporting and annual reports in the area of risk management (ICARA, Stress testing and back testing, etc.) for the executive members, the group and the supervisory authority ;
- Document various new product and risk analysis within the framework of the activity, and approve Low and Medium risk client request;
- Provide risk opinion on Credit Risk Committee, Client Acceptance Committee and New Activities and Products Committee ;
- Supervise the various risk controls linked to the activities of the investment firm and its subsidiary ;
- Document risk analysis reports to various stakeholders such as executive members, board members, and employees ;
- Work closely with the executive members and the risk business line ;
- Maintain the relationship with the auditors and regulator on risk issues.
If this sounds interesting, don't hesitate to apply (CV + cover letter in English)!
Localisation du poste
Zone géographique
Europe, Luxembourg
Ville
Critères candidat
Niveau d'études minimum
Bac + 3 / L3
Formation / Spécialisation
High education in business, economics or finance
Niveau d'expérience minimum
11 ans et plus
Expérience
- More than 10 years of experience in Risk Management
- In-depth knowledge in the field of mutual funds, of the depository function, of the RTO and fund execution as well as of the European and local regulatory environment for risk management
Compétences recherchées
- Organised
- Autonomous
- Discretion and persuasion
- Versatile
- Good listening skills and good interpersonal skills
- Sense of priorities and rigour
- Good writing skills
- Able to work under tight deadlines
- Team spirit
Outils informatiques
Very good command of Word, Excel, PowerPoint and Access.
Langues
Fluent French and good knowledge of English language