Amundi - CDI - Fund Manager Operations Officer - FUND CHANNEL
Amundi
Publiée le
25/03/2026
Contrat
CDI
Localisation
Luxembourg ville
Taille équipe
—
Missions clés
Support à la ligne de métier de distribution de fonds. · Gestion des remises pour les clients gestionnaires d'actifs. · Production de calculs de frais de remises mensuels et trimestriels. · Réconciliation des actifs sous gestion. · Préparation de rapports pour les gestionnaires d'actifs.
Profil recherché
Bac +3 (Licence, Bachelor) · 0-1, 1-3 ans d'expérience · Communication · Esprit d'équipe · Orientation résultats · Proactivité
Outils & compétences
MS Office, Excel, VBA
Le poste en détail
Amundi Luxembourg is recruiting for its Fund Channel Luxembourg subsidiary.About Fund ChannelBy joining Fund Channel, you become part of a leading organisation in the financial sector. Fund Channel is a B2B fund distribution platform, jointly owned by Amundi and CACEIS. Based in Luxembourg, it operates across Europe and Asia.Since 2005, Fund Channel has provided innovative services to facilitate fund distribution, increase transparency, and streamline processes for asset managers and fund distributors. It was awarded "Best European Distribution Platform" by Platforum for four consecutive years (2022-2025).The recent launch of Fund Channel Liquidity gives treasurers direct access to a wide range of money market funds, reinforcing the platform’s position as a leading solution in Europe.We build strong, human relationships with our clients, partners and regulators. Together, we make fund distribution easier. MISSIONSTo support our fund distribution business line, Fund Channel is looking for a Fund Manager Operations Officer.The FMO department is responsible for managing Rebates for its clients Asset Managers, in particular; calculation, reconciliation and invoicing follow-up of Trailer Fees due to their distributors.Production of monthly & quarterly Trailer Fee calculations for distributors within the agreed timeframesAssets under management reconciliation based on distributors statementsReview and set up of Trailer Fee conditions and distributor network in the in-house system based on distribution agreementsPerform verification of the Trailer Fee calculations and payments and ensure adherence to all established procedures and controlsInvestigate and follow up on distributors queries related to calculations, agreements, and paymentsPrepare reports to Asset Managers for Finance purpose (monthly Accruals, payments interface in the accounting, ad-hoc reportings based on Asset Manager’s needs).