WHO WE ARE:
Created in 1999 in Sweden, MFEX has grown to become a leading global fund platform, offering a complete and state of the art solution for fund trading, fund distribution services, data solutions, and compliance & due diligence.
MFEX has global market coverage and a total of 320 billion EUR of Assets Under Administration. With trading, custody, fund distribution services and data solutions for more than 80,000 funds and 960 asset management companies, MFEX's solution covers the whole fund universe.
In September 2021, MFEX became a part of the Euroclear Group, one of the world's largest providers of domestic and cross-border settlement and related services for bond, equity, ETF and mutual fund transactions, creating a new funds market utility.
Since its creation, MFEX has developed a broad set of modules aiming to service its clients; amongst them, a dedicated department: ODDS -Operational Due Diligence Services has been providing fund distributors, multi-managers and institutional investors with recognized expertise on ODD for more than 10 years.
Based on a proprietary model questionnaire, ODDS provides an in-depth analysis and a ready to-use synthetic report on the asset manager with a scoring and an opinion, as well as two years follow-up. The principle of this offer is to let customers use this analysis in their own context.
We are looking for a team-oriented and ESG oriented candidate with a capacity to contribute to the business and internal methodology.
WHAT YOU WILL BE REPONSIBLE FOR (but not limited to):
Within a dynamic, international and entrepreneurial environment, you will investigate and analyze asset manager’s operational environment under UCITS framework, including ESG capabilities.
As such, you will be responsible for collecting information from asset managers. Based on this information, you will apply internal methodology and provide in-depth analysis.
You aim to deliver reports highlighting the risks incurred and the elements that contributed to your evaluation.
This service is delivered to clients in English. You will conduct discussions with asset managers and detail your reports to institutional clients.
Our team is also responsible for screening market events which could have a potential impact on the analysis.
WHAT YOU BRING WITH YOU:
* Graduated in top-business school (+5 ans), engineering or postgraduate specialized in asset management / finance
* +3- 5 years’ experience
* Good knowledge in asset management / fund analyst / RFP team / Risk
* Strong interest in ESG
* Fluent in English- excellent writing skills in both French and English
* Morningstar direct knowledge is a plus
* Rigorous, critical analysis, curiosity, autonomy
If you are interested, please send you your application to : firstname.lastname@example.org