Senior Credit Analyst Insurance/Reinsurance - (M/F)

Puteaux (92800), Hauts-de-Seine Temps-plein Mise à jour le 26 juillet 2024

Entreprise: AXA

Our purpose, Act for Human Progress by protecting what matters.

Does this speak to you? Then come and join 149,000 future colleagues who are committed to our 95 million clients in 50 countries around the world every day.

Your work environment

The headquarters of the AXA Group (GIE AXA) brings together our corporate activities. It provides guidance and support to subsidiaries around the world, to ensure the coordination and monitoring of the Group's global strategy, the application of its standards, the consistency of commercial approaches and the sharing of best practices.

The headquarters gathers approximately 1000 employees and is distinguished by its strong international culture (45 nationalities), which makes it a rich and stimulating place to work.

AXA is built around diversity and unity, which is why we are committed to promoting collective success through inclusion.

Within the Group, you will join the Group Investment and ALM department.

Contribute to our €400bn fixed income book

As a Senior Credit Analyst in our 25-strong Alternative & Credit Team within AXA Group Investment Department, you’ll be at the heart of monitoring and shaping AXA’s credit portfolio. You will be part of the Developed Markets Investment Grade Team reporting to the Head of Financials, REITs and SSA credit research team covering a €85bn+ portfolio. Working together with your colleagues, you’ll provide critically important internal ratings and investment eligibility to make sure that our credit portfolio remains solid.

Day-to-day, you’ll:

Cover approx. 30 companies in your own credit portfolio focused on Insurance/Reinsurance and potentially on Banks. You will be responsible for the coverage of some of the largest issuers that AXA has in portfolio. Your geographic coverage will be developed markets mainly on North America and Europe and Asia Pacific. Integration of material ESG factors is systematic.Monitor the performance of each credit profile and review internal ratings regularly, including through participation to internal ratings committees.Perform sector reviews and assign sector outlooks at least twice a year.Keep tabs on financial markets and credit events and write short credit memo to update AXA group managementOrganise calls and build strong relationships with top management of covered counterparties and exchange information with other key parties such as AXA entities, AXA IM, ratings agencies, brokers.Present your views to AXA’s Global Investment community.Work closely with the Head of Financials, REITs & SSA and Head of Public Fixed Income

Cover approx. 30 companies in your own credit portfolio focused on Insurance/Reinsurance and potentially on Banks. You will be responsible for the coverage of some of the largest issuers that AXA has in portfolio. Your geographic coverage will be developed markets mainly on North America and Europe and Asia Pacific. Integration of material ESG factors is systematic.

Monitor the performance of each credit profile and review internal ratings regularly, including through participation to internal ratings committees.

Perform sector reviews and assign sector outlooks at least twice a year.

Keep tabs on financial markets and credit events and write short credit memo to update AXA group management

Organise calls and build strong relationships with top management of covered counterparties and exchange information with other key parties such as AXA entities, AXA IM, ratings agencies, brokers.

Present your views to AXA’s Global Investment community.

Work closely with the Head of Financials, REITs & SSA and Head of Public Fixed Income

Qualifications

A Master’s degree in Finance or BusinessMore than 7 years of experience in credit analysis (Insurance/Reinsurance and Banks ideally), preferably at a sell-side or buy-side institution or ratings agency.Good knowledge of financial markets and anatomy of credit.Excellent communication skills (oral and written) and understanding of how to distil down complex information.Strong organizational skills and an ability to work to tight deadlinesFluency in written and spoken English (working language).

A Master’s degree in Finance or Business

More than 7 years of experience in credit analysis (Insurance/Reinsurance and Banks ideally), preferably at a sell-side or buy-side institution or ratings agency.

Good knowledge of financial markets and anatomy of credit.

Excellent communication skills (oral and written) and understanding of how to distil down complex information.

Strong organizational skills and an ability to work to tight deadlines

Fluency in written and spoken English (working language).