Amundi is Europe’s largest asset manager by assets under management and ranks in the top 10 globally. Thanks to the integration of Pioneer Investments, it now manages over 2 trillion euros of assets across six main investment hubs. Amundi offers its clients in Europe, Asia-Pacific, the Middle East and the Americas a wealth of market expertise and a full range of capabilities across the active, passive and real assets investment universes. Headquartered in Paris, and listed since November 2015, Amundi is the first asset manager in Europe by market capitalization.
Leveraging the benefits of its increased scope and size, Amundi has the ability to offer new and enhanced services and tools to its clients. Thanks to its unique research capabilities and the skills of 5,000 team members and market experts based in 37 countries, Amundi provides retail, institutional and corporate clients with innovative investment strategies and solutions tailored to their needs, targeted outcomes and risk profiles.
In the frame of a development of our platform in Luxembourg, we are looking for a 9 months CDD to replace a team member in parental-leave as
Business Support Officer - Alternative and Real Assets
Within the Real Assets unit of Amundi Luxembourg, the position will report directly to the Head of Real Assets. He/she will work very closely within the global business line Alternative and Real Assets (“ARA”) and as well as others Amundi Luxembourg teams.
Amundi ARA is the group business line that manages 71 billion of AuM as of end June 2024 and is specialized in Global Private Markets (such as Private Equity and Private Debts), Alternatives and Real Assets and focused on the design of investment solutions aimed at both retail and institutional investors worldwide.
The Real Estate Fund Manager will contribute actively and will be responsible for:
- Financial and administrative management of pan European real estate funds.
- Participate to the investment committee for acquisitions/disposals.
- Participate in financings/re-financings for real estate funds.
- Produce the Business plans/Indicators and validate NAV/distributions.
- Liaise with different providers (asset managers, banks, lawyers, auditors).
- Review the valuation and the NAV calculation.
- Report to institutional investors and to the management/Board.