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GP Stakes Investments Analyst

AXA Investment Managers

Puteaux

Sur place

EUR 45 000 - 65 000

Plein temps

Il y a 10 jours

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Résumé du poste

A global asset management firm located in Puteaux is seeking a motivated candidate to support its Capital Partner's team. The role involves market screening, opportunity analysis, and financial modeling for investments across private equity, infrastructure, and private debt. Ideal candidates will hold a Master's in Finance/Economics and possess 2+ years in investment banking or private markets with strong analytical skills. The position also requires proficiency in Excel and English communication skills, providing an excellent environment for professional growth.

Qualifications

  • Minimum 2 years of experience in investment banking, private markets investment, or related roles.
  • Strong analytical and financial modeling skills.
  • Excellent verbal and written communication skills in English.

Responsabilités

  • Support market screening and opportunity analysis for investments.
  • Assist in financial modeling and due diligence coordination.
  • Review financial information on portfolio companies.
  • Collaborate on fund governance materials and processes.

Connaissances

Analytical skills
Financial modeling
Communication skills (English)
Proficiency in Excel
Proficiency in PowerPoint

Formation

Master's degree in Finance / Economics
Description du poste
Description

AXA Investment Managers (AXA IM) has been part of the BNP Paribas Group since July 1, 2025, following the completion of its acquisition.

AXA IM is a key player in global asset management, with over 3,000 professionals and 24 offices across 19 countries worldwide.

We serve a diverse international client base, including institutional investors, corporations, and individuals, offering a wide range of investment opportunities across global markets. Our offerings include both alternative assets (real estate participations, private debt, alternative credit, infrastructure, private equity, and solutions focused on private markets) and traditional assets (bonds, equities, and multi-asset strategies).

AXA IM manages approximately €879 billion in assets, of which €493 billion are categorized as investments incorporating ESG criteria, sustainability, or impact considerations. Our goal is to provide our clients with a comprehensive range of products, from traditional investments to ESG strategies, enabling them to align their portfolios with their financial objectives and sustainability priorities. In a rapidly changing world, we adopt a pragmatic approach focused on delivering long-term value to our clients, our employees, and the economy as a whole.

Department

AXA IM Prime is the private assets one-stop platform of AXA IM, offering investments across private equity, infrastructure equity, private debt and hedge funds.

We offer diversified sources of private market returns through primaries, secondaries, co-investments, as well as NAV financing and GP minority stakes solutions.

Through partnerships with best-in-class fund managers, we tailor investment solutions for institutional investors and wealth managers that support long-term sustainable growth.

AXA IM Prime's team of seasoned investment professionals has a long history of meeting AXA group's ambitious investment targets whilst incorporating proactive ESG commitments and strict risk management criteria. AXA IM Prime oversees EUR30bn** of alternative assets, with EUR5bn** of commitments p.a. to further be deployed over the next 3 years.

DISCOVER your opportunity

Support AXA IM Prime Capital Partner's team in gaining minority stake exposure to top‑tier GPs / Private market Managers across Private Equity, Infrastructure and Private Debt. Assist in market screening, opportunity analysis, financial modeling, and monitoring of investments.

Support all aspects of day to day operations and fund life‑cycle: ensure financial integrity / reporting, collaborate with middle/back, support fund governance materials and processes.

Main responsibilities
Investments
  • Assist in developing systematic market screening approaches to provide a comprehensive view of the market and support portfolio allocation decisions.
  • Support the analysis of opportunities from direct sourcing, co‑investments, or other channels.
  • Review information memoranda and prepare assessments.
  • Contribute to financial and extra‑financial analysis (e.g., market presence, management, business model, valuation, sensitivities, exit scenarios).
  • Monitor listed and transaction peers valuations, incl. analysts reports.
  • Participate in financial modelling and due diligence coordination with external providers.
  • Help prepare investment recommendations and supporting materials.
  • Assist in deal structuring and execution.
Management of participations / fund performance
  • Review in depth all financial information received on portfolio companies.
  • Maintain up‑to‑date financial monitoring tools for portfolio companies and for the fund as a whole.
  • Assist in analyzing deviations from investment theses and provide timely insights.
Fundraising and LP relationships
  • Assist in preparing marketing materials (e.g., DDQ, market analysis, fund positioning).
  • Support answering both prospects and existing investors due diligence interactions and questions.
Fund life‑cycle management
  • Collaborate closely with Middle and back office to ensure efficient and robust financial monitoring.
  • Support fund governance through preparation and coordination of board documents and associated fund processes.
  • Participate to process documentation and controls related to the strategy.
Qualifications
SHARE your unique experience
Education/Qualifications
  • Master's degree in Finance / Economics or similar field.
Experience/Skills
  • Starting from 2 years of experience in investment banking, private markets investment, or related roles.
  • Strong analytical and financial modeling skills.
  • Proficiency in Excel and PowerPoint.
  • Excellent verbal and written communication skills in English.
Competencies
  • Entrepreneurial mindset with a "can do" attitude.
  • Team‑oriented and collaborative.
  • Ability to think creatively and work under time constraints.
  • Strong interpersonal and communication skills.
  • Flexibility and adaptability in a dynamic environment.
  • Interest in investment management industry developments.
  • Structured and outcome‑oriented approach.
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