Alternative Credit Portfolio Manager - Paris er, France - ASSOCIATION VOX POPULI

ASSOCIATION VOX POPULI
ASSOCIATION VOX POPULI
Entreprise vérifiée
Paris er, France

il y a 2 semaines

Sophie Dupont

Posté par:

Sophie Dupont

beBee Recruiter


Description

As part of our program aimed at promoting equal opportunities, the Vox Populi association is seeking an intern for January 2025 for its partner AXA IM, a responsible asset management company.

The selected intern will participate in a 5-day free training on soft skills from June 17, 2024, to June 21, 2024, with the aim of preparing them for the codes and values of the partner company.

Upon completion of this training, they will have the opportunity to interview with the human resources department.


Description of the department:

The structured and securitized origination team is part of the Structured Finance which manages more than €50Bn in assets.

The team is made of 3 investment individuals and is responsible for managing Secured Finance strategies on various asset classes (ABS, RMBS, CMBS ) both through Europe and the US.


The main responsibilities of the role:
Assistance to the Structured Finance team in developing and enhancing AXA IM's responsible investment framework. Main responsibilities consist of deploying the ESG analysis methodology across AXA IM Alt's investment universe by setting-up and developing the ESG-scoring and sustainability risk assessment across the various expertise (mortgages, ABS Regcap, CLO...)

  • Enhance automation of the scoring system including score testing through the implementation phase
  • Deploy scoring system through the various teams on the investment universe (data collection, issuer review)
  • Support to the team in handling IT issues related to ESGscoring and sustainability analysis implementation
  • Setup consistent ESGmarketing tools across the platform
  • Develop and support adequate reporting framework to clients
  • Assist the team in lobbying / industrybased discussion for the determination of KPI in relation to regulatory requirements

Profile:


Education/Qualifications

  • University or Engineering school degree from a top institution with background in Math, Physics, Finance or Computer Science

Experience

  • Proven quantitative analysis experience gained in an asset management or financial markets environment.

Competencies

  • Excellent communication skills
  • Team player, multitasking and ability to work under pressure, very thorough mind and capacity for synthesizing
  • Fluent in English
  • Agile in data management (VBA, Python, pack office)
  • Curiosity

Type d'emploi :
Stage

Durée du contrat : 6 mois

Rémunération : 29 662,17€ à 83 174,72€ par an


Avantages:

  • Prise en charge du transport quotidien

Programmation:

  • Du lundi au vendredi

Lieu du poste :
En présentiel

Date de début prévue : 01/01/2025

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