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Company Description
Ranked among the world's largest asset managers with more than 1 trillion euros in assets under management1, (COMPANY NAME) Investment Managers ((COMPANY NAME) IM) delivers a diverse range of solutions across asset classes, styles, and vehicles, including innovative environmental, social, and governance (ESG) strategies and products dedicated to advancing sustainable finance.
The firm partners with clients - institutional investors, investment funds, companies and individuals - in order to understand their unique needs and provide insights and investment solutions tailored to their long-term goals.
(COMPANY NAME) IM's multi-affiliate approach connects clients to the independent thinking and focused expertise of around twenty active management companies.
(COMPANY NAME) Investment Managers International ((COMPANY NAME) IMI) is (COMPANY NAME) IM's main management company in Europe and brings together 3 activities:
· The distribution activities in France of (COMPANY NAME) IM's asset management offer;
· The "Solutions" management hub, which aims to deliver innovative offers with high added value built mainly from the management expertise of (COMPANY NAME) IM's various affiliates;
· A platform serving as a center of expertise for distribution activities and affiliates.
(COMPANY NAME) IMI aims to further develop its presence in France and internationally, drawing on the expertise of its teams and (COMPANY NAME) IM's multi-affiliate model.
1 Assets under management ("AUM") as of December 30, 2022.
At (COMPANY NAME) IM et (COMPANY NAME) IMI, we continuously work to create an environment that promotes diversity and inclusion in all its forms, across gender, race, religion, sexual orientation, disability, ethnicity and background. We believe this creates equal opportunities for our employees - and better outcomes for our clients and communities. We are committed to finding reasonable adjustments for candidates during our recruitment process. Please let us know if there are any changes, we could make to the application process to make it easier and more comfortable for you.
Job Description
The Opportunity:
We are looking for a VIE who will be assigned to support the APAC Product team to join in Q3 2024.
Key Areas of Responsibility:
* Provide support to the APAC Product team
* Perform market research and in-depth competitive analysis on peer groups distributed in APAC markets
* Participate in the continuous enhancement of product range in the region
* Coordinate the impact analysis on APAC BDUs for transversal product projects such as product rationalisation
* Coordinate the new share class / product launches and support APAC BDUs in the development of business case
* Assisting assessing partnerships opportunities including strategic review and product analysis
* Such other ad hoc duties as per APAC management requests
Required Skills/Qualifications/Experience
- University graduate with a degree of Finance or a related business discipline
- A strong interest in the financial topics and market trends
- A minimum of 2 years of working experience in asset management/investment firm or any other related industry. Experience in product development / product strategy will be a plus
- Good organizational and presentation skills
- Knowledge on project management
- A proven ability to multi-task and flexibility to work on a range of projects
- Team player spirit and motivated fast learner
- Fluent written and verbal communication in English
Origen: | Web de la compañía |
Publicado: | 11 Ago 2024 |
Tipo de oferta: | V.I.E. |
Sector: | Banca / Finanzas |
Idiomas: | Inglés |
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