Senior Investment Solutions Manager

CDI
Paris
Salaire : Non spécifié
Télétravail fréquent
Expérience : > 7 ans
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AXA
AXA

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Le poste

Descriptif du poste

Notre métier, protéger les personnes, les biens et les actifs. Notre raison d’être, agir pour le progrès humain en protégeant ce qui compte.Cela vous parle ? Alors venez rejoindre 149 000 futurs collègues qui s’engagent au quotidien auprès de nos 95 millions de clients dans 50 pays à travers le monde. 

Votre environnement de travail

Le siège social du Groupe AXA (GIE AXA) regroupe nos activités corporate. Il assure le pilotage et le support des filiales dans le monde, afin de garantir notamment la coordination et le suivi de la stratégie globale d’AXA, l’application de ses standards, la cohérence des approches commerciales, et le partage des meilleures pratiques. 

Le siège est composé d’environ 1000 employés et se distingue par sa forte culture internationale (45 nationalités), ce qui en fait un espace de travail riche et stimulant.

C’est autour de la diversité et de l’unité que se construit AXA, c’est pourquoi nous nous engageons à promouvoir le succès collectif par l’inclusion.

Within the Group, you will join Group Investment & Asset-Liability Management (“GIA”) department. GIA role is to consolidate local investment decisions, leverage on financial expertise through the Group and steer investment ideas. The team works in close collaboration with AXA’s worldwide investment teams and top-tier investment managers, including AXA IM, to deploy capital across various asset classes.

Within this Department, you will be part of the Group Investment Solutions team (“GIS”). GIS mission is to design, analyze, select, validate and coordinate deployment of investment & hedging solutions, mostly derivatives based, on the balance sheet of AXA insurance entities to optimize investments performance adjusted by risk, measured under economic, accounting and regulatory metrics.

Your Main Mission: 

·       Designing hedging strategies and solutions to protect balance-sheet and optimize economic capital, taking into account market, accounting and regulatory constraints

·       Foster global relationship with key bank partners, organise regular meetings with key investment banks to discuss both market views and trade ideas, understand market trends and new regulations impacting banks, review trading activities with banks

·       Lead global oversight of derivatives activities and contribute to further optimize organization of trading services

·       Ensure transparency in the OTC derivatives execution process, monitor Best Execution and define clear communication channels with trading teams regarding execution conditions

·       Review Derivatives platform activity, quality of services, KPIs, incidents, sub-outsourcing

·       Lead Derivatives Committees, define agenda and review presentations ahead of meetings, identify strategic decisions related to Derivatives framework to be approved by the Committee

·       Monitor changes in derivatives regulatory requirements, industry best practices, or evolving risk management standards

·       Define Derivatives annual budget based on expected level of activity and correlated sizing of the team

·       Conduct periodic independent Due Diligences of derivatives activities and operational set up to ensure compliance with agreed-upon level of services and risk management standards

·       Review and rationalize Global Custody services across local entities.

Vous rejoignez une entreprise :

-    Responsable, vis-à-vis des personnes, y compris ses employés et ses clients, et de la planète. -    Aux valeurs fortes-    Qui encourage la mobilité interne, et la formation de ses employés-    Qui vous offre de nombreux avantages (en savoir plus ici : Reward & Benefits - french | AXA Group)-    Flexible, qui permet le travail hybride, au bureau et à la maison.

Les informations fournies par les candidat(e)s seront traitées de manière strictement confidentielle et utilisées uniquement à des fins de recrutement.


Profil recherché

Let’s talk about you:

 

MAIN COMPETENCIES AND EXPERIENCES

 

Technical skills:

·       Strong quantitative skills to understand complex Derivatives instruments

·       Strong experience in Derivatives, covering all aspects (markets, structuring, pricing, accounting treatment, legal and regulatory)

·       Communication skills required to interact with high number of different stakeholders and in different countries

·       Ability to take risk, express convictions and weight on decision making

 

Soft skills:

·       Strong presentation skills required to present complex topics to management

·       Ability to work in high pressure, deadline environment.

·       Rigor, determination, and teamwork required to advance on mid/ long term projects

 

Experience:

·       The targeted background includes:

o   Master’s degree in Engineering, Economics, Finance or Business

o   Over 7 years of relevant experience in cross-asset derivatives in investment banking, asset-management, or treasury departments

o   Fluency in written and spoken English: a pre-requisite

 

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