CDI - Fund Manager Operations Officer - FUND CHANNEL
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Les clients d'Amundi bénéficient de l'expertise et des conseils de 5 500 professionnels dans 35 pays.
Amundi, un partenaire de confiance qui agit chaque jour dans l'intérêt de ses clients et de la société.(1) Source : IPE « Top 500 Asset Managers » publié en juin 2025 sur la base des encours sous gestion au 31/12/2024
(2) Données Amundi au 30/06/2025
(3) Paris, Londres, Dublin, Milan, Tokyo et San Antonio (via notre partenariat stratégique avec Victory Capital)Référence 2025-107055Date de parution 25/03/2026Description du posteType de métierTypes de métiers Crédit Agricole S.A. - Gestion des opérationsIntitulé du posteCDI - Fund Manager Operations Officer - FUND CHANNELType de contratCDIDate prévue de prise de fonction01/05/2026Poste avec managementNonMissionsAmundi Luxembourg is recruiting for its Fund Channel Luxembourg subsidiary.About Fund ChannelBy joining Fund Channel, you become part of a leading organisation in the financial sector. Fund Channel is a B2B fund distribution platform, jointly owned by Amundi and CACEIS. Based in Luxembourg, it operates across Europe and Asia.Since 2005, Fund Channel has provided innovative services to facilitate fund distribution, increase transparency, and streamline processes for asset managers and fund distributors. It was awarded "Best European Distribution Platform" by Platforum for four consecutive years (2022-2025).The recent launch of Fund Channel Liquidity gives treasurers direct access to a wide range of money market funds, reinforcing the platform's position as a leading solution in Europe.We build strong, human relationships with our clients, partners and regulators. Together, we make fund distribution easier.MISSIONSTo support our fund distribution business line, Fund Channel is looking for a Fund Manager Operations Officer.The FMO department is responsible for managing Rebates for its clients Asset Managers, in particular; calculation, reconciliation and invoicing follow-up of Trailer Fees due to their distributors.
- Production of monthly & quarterly Trailer Fee calculations for distributors within the agreed timeframes
- Assets under management reconciliation based on distributors statements
- Review and set up of Trailer Fee conditions and distributor network in the in-house system based on distribution agreements
- Perform verification of the Trailer Fee calculations and payments and ensure adherence to all established procedures and controls
- Investigate and follow up on distributors queries related to calculations, agreements, and payments
- Prepare reports to Asset Managers for Finance purpose (monthly Accruals, payments interface in the accounting, ad-hoc reportings based on Asset Manager's needs).
- University or Bachelor's degree in Accounting, Economics or Finance
- Excellent knowledge of MS Office, especially Excel. VBA programming skills is a plus
- A first experience in depositary, custody or fund administration is considered as an advantage
- Fluency in French and English
- Demonstrate insight of the finance industry
- Excellent knowledge of MS Office, especially Excel. VBA programming skills is a plus
- Excellent communication skills with the ability to develop strong team and client trust relationships through business-oriented mind-set
- Result oriented, can-do spirit and proactive mindset
- Strong analytical and organizational skills
- Ability to work under pressure
- Attention to detail and proven ability to handle complexity and competing priorities