Amundi US

VIE

Amundi US  •  Federal Republic of Germany (Onsite)  •  2 months ago
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Job Description


Allgemeine Informationen


Einheit


Amundi, der führende europäische Vermögensverwalter und einer der Top 10 Global Player[1], bietet seinen 100 Millionen Kunden – Privatanlegern, Institutionen und Unternehmen – ein umfassendes Angebot an aktiven und passiven Spar- und Anlagelösungen, in herkömmlichen Vermögenswerten oder in Sachwerten. Dieses Angebot
wird durch IT-Tools und -Dienstleistungen ergänzt, um die gesamte Wertschöpfungskette der Geldanlage abzudecken. Amundi, eine Tochtergesellschaft der Crédit Agricole Gruppe, ist
börsennotiert und betreut aktuell ein verwaltetes Vermögen von mehr als 2 300 Milliarden Euro[2].
Mit seinen sechs internationalen Investmentzentren[3], den Researchkapazitäten im finanziellen und nichtfinanziellen Bereich sowie dem langjährigen Bekenntnis zu verantwortungsvollem Investieren ist Amundi einer der wichtigsten Akteure im Asset Management.

Die Kunden von Amundi profitieren von der Expertise und der Beratung von 5.600 Mitarbeiterinnen und Mitarbeitern in 35 Ländern.
Amundi, ein zuverlässiger Partner, der täglich im Interesse seiner Kunden und der Gesellschaft handelt.


Kennziffer


2026-110240


Datum der Veröffentlichung


17.03.2026

Beschreibung der Stelle


Geschäftsfeld

Berufe - Risikomanagement / Controlling


Stellenbezeichnung

VIE - Risk Management (m/w/d)


Vertragsart

Internationales Volontariat (VIE)


Dauer (in Monaten)

24 Monate


Geplantes Eintrittsdatum

01.05.2026


Führungsposition

Nein


Aufgaben

Risk Management is an independent function within Amundi Deutschland and the Head of Risk Management is responsible for coordinating all risk management activities according to the Amundi Group Risk Framework.

The Risk Management department is split into different units focusing on Investment Compliance, Investment Risk Measurement & Performance Measurement as well as Operational Risk, and adherence to local regulatory requirements that are related to the investment process.

The Investment Compliance team is responsible for monitoring the adherence to all contractual and legal regulations/constraints related to the fund products or corresponding services (investment compliance risk) as well as ESG limits.

The Investment Risk team is responsible for the implementation of the investment risk management framework of market & credit risks as well as liquidity risk according to local regulation (e.g. Derivative Ordinance/VaR) and global risk management standards (e.g. macro/micro processes).

The Operational Risk Manager is responsible for the incident management, risk assessment & permanent controls within the departments, monitoring of operational key risk indicator and risk reporting to management and supervisory board.

The Risk Analyst will

  • Contribute to control the market, liquidity and credit risks
  • Assist monthly risk management reporting
  • Support Investment Compliance with “limit-control” on daily basis
  • Be involved with ESG Risk implementations and researches
  • Review investment guidelines amendments if necessary
  • Help with implementation and updates of the client’s ESG lists
  • Support Operational Risk with the incident management, risk assessment & permanent controls within the departments and monitoring of operational key risk indicators

Einsatzort der Stelle


Standort der Stelle

Europa, Deutschland


Stadt


Munich

Qualifikation


Mindest-Ausbildungsniveau

Bachelor-Abschluss oder gleichwertig


Akademische Ausbildung / Spezialisierung

Finance or quantitative method. Good understanding of the financial products is essential, along with applied knowledge of risk management concept.


Mindest-Erfahrungsgrad

0-2 Jahre


Erforderliche Kompetenzen

  • Be inquisitive / pay attention to details
  • Have thorough analytical skills
  • Strong communication skills


IT-Kenntnisse

  • Proficiency in MS Office applications, especially in Excel and PowerPoint
  • Bloomberg knowledges could be helpful
  • Knowledge of KI applications
  • Knowledge of AMUNDI Tools would be an advantage
  • Regulatory frameworks (e.g., UCITS/AIFMD, MiFID II, KAGB, DVO, KAMaRisk) would be an advantage


Sprachen

Fluent English written and spoken, German knowledge would be an advantage

Amundi US

About Amundi US

Reintroducing Pioneer Investments! As part of Victory Capital’s strategic partnership with Amundi, the rebranded Pioneer Investments becomes Victory Capital’s 12th Investment Franchise. Read more in the press release: https://ir.vcm.com/news/news-details/2025/Victory-Capital-Closes-on-Transaction-to-Become-Strategic-Partner-with-Amundi/default.aspx

To keep up with Victory Capital and Pioneer Investments follow https://www.linkedin.com/company/victory-capital-management/

Important disclosures: vcm.com/social-media-guidelines-and-disclosures

Industry
Finance & Insurance
Company Size
501-1,000 employees
Headquarters
Boston , MA
Year Founded
Unknown
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