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Description du poste:
Company Description
An entrepreneurial structure, Mirova is a conviction-driven asset management company dedicated to impact investing. It develops high-performing investment solutions for its individual and institutional clients, aimed at accelerating the transformation of our economy towards a sustainable model. Already a pioneer in sustainable investment, Mirova made the choice to become a mission-driven company in 2020 and obtained B Corp certification.
Mirova is an affiliated management company of Natixis Investment Managers. It develops a comprehensive approach to responsible investing by offering solutions across various asset classes: equities, fixed income, diversified investments, infrastructure, renewable energy, natural capital, private equity, and solidarity investments.
With EUR32 billion in assets under management as of the end of 2024, Mirova relies on more than 240 employees in Paris, London, Singapore, and Boston, with strong growth prospects in Europe, Asia, and the United States.
Job Description
You are joining the Mirova risk department as a Risk Manager for a fixed-term contract of 6 months. The department is in charge of the prevention, identification and management of financial and ESG risks on listed assets and real asset portfolios.
On a daily basis, your tasks are to:
* participate in monitoring investment constraints and identifying gaps,
* improving portfolio monitoring with managers, by implementing management points, specific indicators and/or stress tests (Bloomberg Port Enterprise/Factset tools),
* participate in the preparation and coordination of internal risk committees (Mirova and Mirova US), monthly committees with NIM, and new product committees,
* actively participate in monitoring ESG risk; this may involve training on this topic. This task includes "data" aspects and knowledge on ESG themes,
* improvement of the tools
As a Risk Manager, you participate in the consolidation of the department, with the relocation of expertise within it and the consideration of ESG risk monitoring.
You work in an international environment, within a community of experts who place excellence, impact and collective action at the heart of everything they undertake.
#TransformativeFinance
This position is based in Paris with the possibility to work remotely.
We place our employees at the center of our attention. Internal mobility, career development and training programs allow you to grow and flourish throughout your journey.
You work in a hybrid, inclusive and collaborative work environment.
You also have the opportunity to commit yourself in favor of society and causes that are close to your heart through our corporate foundation.
About the recruitment process
You will be contacted by one of our recruiters before meeting our business experts (manager, team member or business sector). Automatic translation
Required Skills/Qualifications/Experience
About you: If you recognize yourself in the following description, you are made to work with us!
You have at least 1 year of experience in front office or risk management positions with a management company or bank.
Do you have:
* Market Finance and Portfolio Management
* Data manipulation (no development necessary, but an interest in Excel/SQL/VBA is essential)
* The main "buy side" regulations, and in particular the monitoring of regulatory investment constraints
You have excellent interpersonal skills, a very good ability to listen, you have:
* a strong desire to learn, to go into new subjects, notably ESG
* the ability to build a network of contacts
You are proficient in English with a B2/C1 level
Automatic translation
| Origine: | Site web de l'entreprise |
| Publié: | 23 Avr 2026 |
| Type de poste: | Emploi |
| Secteur: | Banque / Finance |
| Durée d'emploi: | 6 mois |
| Langues: | Anglais |