Analyste Investissements Produits Structurés (F/H) - CDI
FRANCE
il y a 2 jours
About the Role
Position: Product Structured Management
Location: Bois Colombes | Type of contract: CDI | Start date: as soon as possible | Salary: competitive based on profile and experience.
Responsibilities
- Define, pilot and evolve the strategy for listing structured unit-linked products, taking market conditions, regulatory constraints, and performance objectives into account.
- Analyze, select and monitor structured products marketed as unit-linked and those held on proprietary account; deploy and follow the proprietary portfolio.
- Act as a recognized interlocutor with banks, brokers and distributors during structuring and selection phases, in collaboration with the activity manager.
- Provide close operational oversight of the entire structured products book over time.
- Produce reporting, analyses and market benchmarks related to structured products activity.
- Analyze and challenge structuring proposals (underlyings, remuneration mechanisms, risks, performance scenarios) and formulate investment recommendations.
- Identify market opportunities and maintain an active watch on financial innovations and new investment solutions.
- Utilize and evolve internal analysis, automation and reporting tools, including Python.
- Participate in continuous improvement and industrialization of investment and monitoring processes.
- Serve as a reference on complex products and support stakeholders in decision-making.
- Contribute to cross-functional projects with Investments, Risks, Actuarial, Finance, and Product Development teams.
Qualifications
- Academic background: Bac+5 in Finance, Financial Engineering, Financial Mathematics or equivalent.
- Experience: at least 3 years in structured products, financial engineering or asset management; 5 years is ideal depending on profile maturity.
- Preferred experience in an investment department of an insurer, asset management firm or financial institution.
Key Skills & Competencies
- Expertise in financial markets and structured products, including mechanisms, structuring, valuation and risk assessment.
- Solid knowledge of equity and interest‑rate derivatives and asset allocation principles.
- Proficiency with Bloomberg and other market tools.
- Competence in Python for financial analysis, automation and reporting.
- Excellent analytical, synthesis and decision‑making abilities.
- Strong analytical mindset and critical thinking.
- Meticulous, autonomous and organized, especially for long‑term portfolio tracking.
- Interpersonal skills to interact with diverse stakeholders, including external partners (banks, brokers, distributors).
- Capacity to provide technical expertise transversally and contribute to strategic projects.
EEO Statement
We are committed to an inclusive workforce and consider applications without regard to sex, age, origin, disability or conviction. We support diversity through multiple communities, including LGBT+, professional equality and disability.
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Entreprise
GIE d'Abeille Assurances
Plateforme de publication
WHATJOBS
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