Depositary Control Analyst H/F

Détail de l'offre

Informations générales

Entité

CACEIS est un établissement bancaire, filiale du groupe Crédit Agricole, spécialisé dans les services financiers aux sociétés de gestion et investisseurs institutionnels.

Présent en Europe, en Amérique du Nord, en Amérique du Sud et en Asie, CACEIS propose une gamme complète de produits et services : exécution, compensation, change, prêt-emprunt de titres, conservation d'actifs, banque dépositaire et administration de fonds, support à la distribution des fonds, solutions de middle-Office et services aux émetteurs.

CACEIS est un consolidateur du marché européen de l'asset servicing et affiche une activité en croissance régulière. Le Groupe détient près de 5 300 milliards d'euros d'actifs en conservation et près de 3 400 milliards d'euros d'encours sous administration (chiffres au 31 décembre 2024).

En agissant chaque jour dans l'intérêt de la société, nous sommes un groupe engagé en faveur des diversités et de l'inclusion et plaçons l'humain au cœur de toutes nos transformations. Tous nos postes sont ouverts aux personnes en situation de handicap.

  

Référence

2025-103013  

Date de parution

06/11/2025

Description du poste

Type de métier

Types de métiers Crédit Agricole S.A. - Analyse financière et économique

Intitulé du poste

Depositary Control Analyst H/F

Type de contrat

CDI

Date prévue de prise de fonction

01/11/2025

Poste avec management

Non

Missions

The Depositary Control Analyst mainly carries out systematic verifications according to the Depositary Control Plan and/or the applicable laws and regulations. Systematic verifications are controls applied automatically under defined procedures (monitoring of UCIs, ratios, inventory control, compliance with net asset value calculation). He/she also participates in specific verifications, to give the custodian reasonable assurance that the risks specific to management and valuation activities are controlled by the management company (Due diligence, haddock subjects). He/she takes the necessary actions in the event of detected anomalies vis-à-vis management companies, external auditors and local supervisory authorities

 

Activities :

Monitoring of Funds (UCITS & AIF)
• Perform controls on the Net Asset Value of the funds through our control plan (for instance : reconciliation of cash balances/securities, ensure that the dividend are distributed correctly to the shareholders, review the expenses/fees, follow up subscriptions/redemptions, make sure that the assets are eligible, follow up that the transactions are settled on time, etc.)
• Carry out cash flow monitoring on a daily basis. Analyze any unknown cashflow and contact the management company if necessary
• Assist in the performance of due diligence visits of management companies and draft reports for management review
• Assist in the redaction of our Depositary Bank Report which is addressed to the management company/ Board members and present the reports at board meetings if needed
• Assist management with collation of data for key performance indicators and routine internal depositary reporting
• Contribute to various tasks and projects such as: Liquidity stress testing, ownership verification, circularization, launch/migration/liquidation of funds, ESG evolving regulatory framework, continuously improve our efficiency with regards to Private Equity and Real Estate, etc.
• Collaborate with various third parties such as Management Companies, Auditor, Regulator, Board of Directors, Asset Manager, Fund Administrator, Transfer Agent, Legal.

Investment restrictions
• Ensure that the Asset Manager is following the regulatory ratios and specific rules mentioned in the prospectus or any similar documentations (for instance: eligibility criteria’s, concentration risk, ESG, specific ratios, etc.)
• Monitor the quality of our database to ensure that the constraints are implemented correctly in our system (Alto IC)

• Monitor the resolution of anomalies in permanent relations with the Asset Manager/ Management Companies

Compléments

Asset management industry

Salaire

/

Localisation du poste

Zone géographique

Europe, Belgique

Ville

Brussels

Télétravail

hybride

Critères candidat

Niveau d'études minimum

Bac + 4 / M1

Formation / Spécialisation

Economy, Finance or risks

 

Niveau d'expérience minimum

0 - 2 ans

Expérience

Professionnal experience in the sector is an asset

Compétences recherchées

Technical skills/ Qualifications

  • Understanding of the Asset Management industry
  • Good knowledge of the Belgium UCITS and AIF regulations
  • Solid foundations in Financial Instruments and finance ecosystem
  • Excellent PC literacy including Office Pack 365 and basic in VBA would be appreciated

 

Personal/ Soft Skills

  • Attention to details and good analytical skills required
  • Good communication skills, both oral and written (in English)
  • Proactive team player, focused attitude towards work and an ability to consistently meet deadlines
  • Anticipation, adaptability and flexibility skills

Outils informatiques

Good knowledge of Microsoft Office Pack (Excel, Word, PowerPoint)

Langues

Anglais (Opérationnel)

Langues

French and English