Informations générales
Entité
CACEIS est la filiale d'asset servicing des groupes Crédit Agricole et Santander, dédiée aux sociétés de gestion, compagnies d'assurance, fonds de pension, banques, fonds de private equity et real estate, brokers et grandes entreprises.
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, agent de transfert, support à la distribution des fonds, solutions de Middle-Office et services aux émetteurs.
Avec 7 000 collaborateurs et un large portefeuille de clients, CACEIS est un leader européen de l'Asset Servicing et compte parmi les principaux acteurs mondiaux.
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
2025-97204
Date de parution
26/02/2025
Description du poste
Type de métier
Types de métiers Crédit Agricole S.A. - Finances / Comptabilité / Contrôle de gestion
Intitulé du poste
VIE - Fund Accountant H/F/D
Type de contrat
VIE
Durée (en mois)
24
Date prévue de prise de fonction
01/06/2025
Poste avec management
Non
Missions
The VIE contract in short:
According Business France's eligibility conditions, the Volontariat International en Entreprise (VIE) is an assignment in a French company operating overseas for professionals between the age of 18 and 28 who are European Economic Area nationals (EU + Norway, Iceland und Liechtenstein).
For further information about the eligibility conditions to this programme, we invite you to go to Business France website.
PLEASE NOTE: your application must be submitted in English to be considered by our non-French speaking teams.
Your team and missions:
The department Depositary Control is mainly responsible for the systematic control of the correct administration and valuation of investment funds by the management company.
The management company is controlled by an independently self-calculated shadow net asset value.
The holder of the position will learn und understand how the various asset classes bought and sold by an investment fund (e.g. securities, bonds, fx forwards, listed futures and options, OTC products like credit default swaps, corporate actions) are to be accounted and how they influence the net asset value of the fund.
Besides a financial products know how, the holder of the position will learn and understand the nature of the various financial products and will investigate on a detailed level discrepancies between the client's and CACEIS's results. Furthermore, the holder of the position will gather in-depth knowledge and experience in hands-on Fund Accounting as well as Securities Pricing.
In addition, the candidate will have the opportunity to gain insights in the related field of Investment Compliance.
In this context, your main missions will be:
- Booking securities-, futures/options, foreign exchange forward contracts, over the counter derivatives and cash transactions;
Net Asset Value preparation and verification vs. management company figures;
Reconciling positions and cash provided by the management companies vs CACEIS fund accounting systems;
Clarifying discrepancies with the management companies, internal departments and CACEIS entities in France and Luxembourg;
Supporting the Securities Pricing area in its daily duties;
Supporting internal projects.
Benefits:
CACEIS Bank Germany Branch offers to its VIEs the following benefits:
- Paid German courses
- Home office allowance
- Reduction on the Deutschland ticket
- Access to a lot of gym clubs with reduced prices (EGYM Well Pass)
- 6 weeks of vacation per year
- Flexible working hours
- International work environment
Localisation du poste
Zone géographique
Europe, Allemagne
Ville
Munich
Critères candidat
Niveau d'études minimum
Bac + 5 / M2 et plus
Formation / Spécialisation
Master's Degree in Finance, Banking, Controlling, Accounting or equivalent
Niveau d'expérience minimum
0 - 2 ans
Expérience
A first experience in the finance / banking industry would be appreciated
Compétences recherchées
Hard Skills:
- Basic Knowledge of financial markets
- Basic knowledge of financial products (equities, bonds, fix forwards, futures, options)
- Basic knowledge of accounting processes
Soft Skills:
- Capacity for teamwork
- Accuracy and reliability
Outils informatiques
IT Skills:
- Microsoft office
- Fund accounting software would be beneficial
Langues
English : fluent ; German : basic / intermediate (or strong motivation to learn it)