Senior Manager, Asset Management/Gestion des actifs

2 - 6 years

0 Lacs

Posted:5 days ago| Platform: Shine logo

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On-site

Job Type

Full Time

Job Description

Role Overview: As part of the EY Financial Services Risk Management team, your role will involve supporting major Portfolio Management Companies (SGPs) in their regulatory, transformation, and operational efficiency projects. This includes impact studies, concrete operational implementation, program management, and more. Key Responsibilities: - Define, review, or optimize Target Operating Models - Manage transformation projects - Conduct Due Diligence Risk & Regulatory (vendor / buyer) - Identify the impacts of new European regulations on clients' internal processes, overall organization, investment products, operational aspects - Propose actions/recommendations and implementation plans to address identified impacts, project management - Conduct ad hoc internal audits of front-to-back processes of portfolio management companies - Various ad hoc missions within Asset Managers: updating AMF approval files (e.g. loan grants, credit approval, ELTIF, complex derivatives, etc.), studying the implementation of anti-dilutive mechanisms (swing pricing), assisting in the structuring of OPC and implementing operational impacts within the SGP, etc. - Explore the development of new EY offerings in asset management - Regulatory monitoring, tracking the work of industry groups (AFG, EFAMA, AFTI, AMAFI, IA, TISA, ALFI, etc.) Qualifications Required: - Graduate of a Business School or a University Master's degree in Asset Management or Finance with at least 2 years of experience in a Portfolio Management Company (Compliance, Risk, Operations, Transformation, Projects departments) or a consulting firm specializing in Asset Management or a Regulator (asset management department, inspection). - Knowledge of the Asset Management sector and related regulations - Strong understanding of internal processes of Portfolio Management Companies: distribution, management, middle office, etc. - Good knowledge of products offered by Asset Managers across asset classes - Experience in transformation projects in the sector - Interest in reading and analysis - Strong interpersonal skills, autonomy, team spirit - Synthesis skills and ability for oral and written communication (French and English) - Willingness to work in a cross-border EMEIA Financial Services environment (numerous cross-border projects) - Fluent in English (Note: The additional details of the company have been omitted as they were not explicitly related to the job role.) Role Overview: As part of the EY Financial Services Risk Management team, your role will involve supporting major Portfolio Management Companies (SGPs) in their regulatory, transformation, and operational efficiency projects. This includes impact studies, concrete operational implementation, program management, and more. Key Responsibilities: - Define, review, or optimize Target Operating Models - Manage transformation projects - Conduct Due Diligence Risk & Regulatory (vendor / buyer) - Identify the impacts of new European regulations on clients' internal processes, overall organization, investment products, operational aspects - Propose actions/recommendations and implementation plans to address identified impacts, project management - Conduct ad hoc internal audits of front-to-back processes of portfolio management companies - Various ad hoc missions within Asset Managers: updating AMF approval files (e.g. loan grants, credit approval, ELTIF, complex derivatives, etc.), studying the implementation of anti-dilutive mechanisms (swing pricing), assisting in the structuring of OPC and implementing operational impacts within the SGP, etc. - Explore the development of new EY offerings in asset management - Regulatory monitoring, tracking the work of industry groups (AFG, EFAMA, AFTI, AMAFI, IA, TISA, ALFI, etc.) Qualifications Required: - Graduate of a Business School or a University Master's degree in Asset Management or Finance with at least 2 years of experience in a Portfolio Management Company (Compliance, Risk, Operations, Transformation, Projects departments) or a consulting firm specializing in Asset Management or a Regulator (asset management department, inspection). - Knowledge of the Asset Management sector and related regulations - Strong understanding of internal processes of Portfolio Management Companies: distribution, management, middle office, etc. - Good knowledge of products offered by Asset Managers across asset classes - Experience in transformation projects in the sector - Interest in reading and analysis - Strong interpersonal skills, autonomy, team spirit - Synthesis skills and ability for oral and written communication (French and English) - Willingness to work in a cross-border EMEIA Financial Services environment (numerous cross-border projects) - Fluent in English (Note: The additional details of the company have been omitted as they were not explicitly related to the job role.)

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Professional Services

London

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