At a Glance
- Tasks: Support ESG integration in real estate investments and optimise data collection processes.
- Company: AXA IM Alts is a global leader in alternative investments with €185bn assets under management.
- Benefits: Work remotely from Paris or London, gain exposure to a dynamic international team.
- Why this job: Join a forward-thinking company focused on sustainability and responsible investment strategies.
- Qualifications: Master's degree in Finance, Management, Engineering, Data Science or Real Estate required.
- Other info: Experience with ESG frameworks and data visualisation tools like Tableau is a plus.
The predicted salary is between 48000 - 72000 £ per year.
This position can be based in either Paris or London. With €185bn assets under management, AXA IM Alts, the alternatives business unit of AXA IM, is a global leader in alternatives investment, operating in real estate, private debt & alternative credit, private equity & infrastructure and hedge funds. Our 800+ employees operating from 17 offices around the world are serving the needs of more than 600 clients worldwide.
The Responsible Investment Senior Analyst will play a key role in supporting the investment and transversal teams in the implementation of the responsible investment strategy for AXA Investment Managers – Real Assets, where we take an integrated approach to RI focusing efforts on three pillars: Decarbonisation, Resilience and Building Tomorrow. The candidate’s main focus will consist in providing insight and guidance to embed ESG in our Real Estate investment platforms (Equity and Debt).
Key responsibilities include, but are not limited to:
- Support the definition and implementation of our ESG integration roadmap
- Help implementing the decarbonisation strategy for our CRE Debt platform
- Support the integration of climate physical risk assessment and mitigation in our Real estate portfolio
- Contribute to the preparation of the GRESB reporting for our Real Estate Equity funds in scope, to ensure we maintain our leading position of 4-star across all participating funds
- Perform market & regulatory watch and reporting process optimization
- Ensure data collect optimization & coordination for Equity and Debt by:
- Developing and improving the visualization of our ESG data with Tableau appropriate to different stakeholders (internal: Asset Management, Development,…, external: client reporting)
- Supporting the coordination with the main data management platform (‘Deepki’)
- Coordinating annual data collect globally for Real Estate Equity and Debt and supporting stakeholders involved (Asset management,…)
- Performing internal data controls and coordinating data audit completion for Real Estate Equity
- Supporting the scale up of data automation and assisting in the overall data management process across the Real Estate Equity Portfolio
- Helping shape data collect operating model for Real Estate Debt
- Coordinating the dataflows to different internal reporting solutions to ensure qualitative regulatory and non-regulatory reporting
Education/Qualifications:
- Master degree in Finance, Management, Engineering, Data Science or Real Estate
- Sustainability focused or data science related diplomas are favourable
Experience:
- Prior experience in the ESG or a quantitative/data department of a financial institution, real estate or consulting firm
- Demonstrated experience in carbon / climate related projects, with an understanding of key frameworks (SBTi, NZAOA, CRREM, etc.)
- Understanding of EU and local ESG regulations (ie. SFDR, Taxonomy, Loi Plage, Decret Tertiaire, etc)
- Experience / knowledge of real estate and private debt / loan investments is a plus
- Previous experience with Deepki
- Previous experience with Tableau is a strong plus
Competencies:
- Accomplished interpersonal skills, ability to work independently and efficiently in a team within an international and fast moving environment
- Proven team player
- Self-starter
- Excellent communication skills, both orally and in writing
- Autonomous, initiative, entrepreneurial and result driven culture
- Ability to manage complex projects and multiple tasks in parallel
- Strong analytical and synthesis capacity
- A comprehensive skill set in data analysis, management and reporting
- Superior skill set in the use of the following software applications: Microsoft Excel, Word, PowerPoint, and Outlook
- Verbal and written communications and presentation skills
- Creative thinking, capability to develop innovative solutions
- Strong written and oral skills in English
- Any other European language is considered a plus
Responsible Investment Senior Analyst- Real estate equity and debt employer: AXA Investment Managers
Contact Detail:
AXA Investment Managers Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Responsible Investment Senior Analyst- Real estate equity and debt
✨Tip Number 1
Familiarise yourself with the latest ESG regulations and frameworks relevant to the role, such as SFDR and SBTi. This knowledge will not only help you understand the responsibilities better but also demonstrate your commitment to responsible investment during discussions.
✨Tip Number 2
Network with professionals in the ESG and real estate sectors. Attend industry events or webinars to connect with potential colleagues and learn about current trends. This can provide valuable insights and may even lead to referrals.
✨Tip Number 3
Gain hands-on experience with data visualisation tools like Tableau. If you haven't used it before, consider taking an online course to boost your skills. Being proficient in these tools will set you apart from other candidates.
✨Tip Number 4
Showcase your understanding of decarbonisation strategies in your conversations. Be prepared to discuss how you would approach integrating climate risk assessments into real estate portfolios, as this is a key focus for the role.
We think you need these skills to ace Responsible Investment Senior Analyst- Real estate equity and debt
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights relevant experience in ESG, data analysis, and real estate. Use keywords from the job description to demonstrate that you meet the specific requirements of the Responsible Investment Senior Analyst role.
Craft a Compelling Cover Letter: In your cover letter, express your passion for responsible investment and sustainability. Discuss how your background aligns with AXA IM Alts' focus on decarbonisation and resilience, and provide examples of your previous work in these areas.
Showcase Your Technical Skills: Emphasise your proficiency in tools like Tableau and Deepki, as well as your experience with data management and reporting. Mention any specific projects where you successfully implemented these skills, particularly in relation to ESG data.
Highlight Relevant Qualifications: Ensure you mention your Master’s degree and any additional qualifications related to finance, data science, or sustainability. If you have experience with EU ESG regulations or carbon-related projects, be sure to include that as well.
How to prepare for a job interview at AXA Investment Managers
✨Understand the ESG Landscape
Familiarise yourself with the latest trends and regulations in ESG, particularly those relevant to real estate. Be prepared to discuss how these frameworks, like SBTi and SFDR, impact investment strategies.
✨Showcase Your Data Skills
Highlight your experience with data management tools such as Tableau and Deepki. Prepare examples of how you've used data analysis to drive decision-making or improve processes in previous roles.
✨Demonstrate Your Project Management Abilities
Be ready to discuss specific projects where you managed multiple tasks simultaneously. Emphasise your organisational skills and ability to work independently while still being a team player.
✨Prepare for Behavioural Questions
Expect questions that assess your interpersonal skills and cultural fit. Use the STAR method (Situation, Task, Action, Result) to structure your responses and provide clear examples of your past experiences.