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Portfolio Analyst Intern - FMCG - December 2025

AXA Investment Managers

Puteaux

Sur place

EUR 40 000 - 60 000

Plein temps

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Résumé du poste

A leading global asset management firm in Puteaux is offering an internship within the Financial Management Controlling Group. The role includes producing financial reports, coordinating fund planning, and monitoring service providers. Ideal candidates are pursuing postgraduate studies in finance or related fields and possess strong analytical and interpersonal skills. Fluency in English and French is essential, making this an excellent opportunity to gain exposure in a dynamic financial environment.

Prestations

International working environment
Exposure to various complex issues
Opportunity for rapid responsibility taking

Qualifications

  • Fluency in English and French is required.
  • Proven interest in real estate through any previous related internship.
  • Ability to work efficiently in a team within an international environment.

Responsabilités

  • Produce various financial reports and dashboards.
  • Coordinate the fund planning process and prepare schedules.
  • Monitor the accuracy and timeliness of service providers' outputs.
  • Prepare funds forecasts and variance analyses.
  • Perform risk controlling at fund level.

Connaissances

Interpersonal skills
Analytical skills
Communication skills
MS Office proficiency

Formation

Postgraduate studies in Finance, Management, Engineering or Real Estate
Description du poste

Description

AXA IM

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.

AXA IM Alts

AXA IM Alts is a global leader in alternative investments with over €185 billion of assets under management comprising c.€91 billion of primarily private real estate, over €85 billion of private debt and alternative credit, as well as c.€9 billion in infrastructure and private equity.

We take a 360° approach to real‑estate & infrastructure investing with over €132 billion of assets under management in direct opportunities, held indirectly through debt and listed equities and via long‑term private equity investments into operating platforms. ESG is fully integrated into our investment decision‑making processes with our responsible investment approach anchored by the three key pillars of decarbonisation, resilience, and building tomorrow.

AXA IM Alts employs over 830 people located in 17 offices around the world and serves the needs of more than 600 clients from Europe, North America, Asia Pacific and the Middle East. We are the number one property portfolio and asset manager in Europe, and one of the largest worldwide.

We pride ourselves on fostering a culture of high performance, which means we seek to recruit and retain people who are not only technically qualified, but also open to the world, innovative and able to harness their unique perspectives and life experiences to support our success as a business.

Department

The successful candidate will join the Financial Management Controlling Group (FMCG) department, which is in charge of monitoring the investment performance of all funds and portfolios managed by AXA REIM SGP. The role covers a wide range of activities, controlling and reporting financial data, implementing leverage and hedging strategies, and ensuring proper governance on all managed entities or funds across Europe. Through this position, you will be assigned to a dedicated investment fund (logistics, residential, FoF, etc.).

Discover your opportunity

This internship position will be the opportunity for you to further develop your skills in an international and fast‑moving environment and to prepare you for a future career in the world of finance.

As an intern, you will work closely with the Finance Manager and the Financial Controllers, who will mentor you throughout the internship.

Your main responsibilities will include:
  • Producing annual, semi‑annual, quarterly or monthly reporting (incl. regulatory reporting) and dashboards on financial, investment performance and accounting aspects (including IFRS), and ad‑hoc external and internal reports (i.e. Management Board or Supervisory Board).
  • Coordinating the fund / asset planning process and preparing the planning schedules, including commenting on portfolio results.
  • Ensuring accuracy, completeness and timeliness of productions of external service providers (Fund Administrator, Corporate Manager, Property Manager and Tax Advisor).
  • Preparing funds forecasts and variance analysis with available IT tools (including IFRS and cash aspects if applicable; follow of the sales forecasts).
  • Monitoring asset level performance (variance actual vs budget, asset performance, capex monitoring, rent arrears, etc.).
  • Performing portfolio and risk controlling at fund level, risk ratio and investment guideline monitoring if required.
  • Making the results available in the global IT system.
  • Participating in transversal projects if requested and performing other tasks and projects as assigned from time to time.
  • Reinforcing sound and effective risk management in line with the Risk and Compliance Objectives & Measures Framework.
Qualifications
Education / Qualifications
  • Postgraduate studies in Finance, Management, Engineering or Real Estate and seeking a final‑year or gap‑year internship.
Experience
  • Proven interest in real estate (any previous internship within asset management or with a focus on real estate would be considered as a plus).
Competencies
  • Accomplished interpersonal skills, ability to work efficiently in a team in an international and matrix environment.
  • Autonomous, curious and result‑driven culture.
  • Strong analytical and synthesis capacity.
  • Good verbal, written communication and presentation skills.
  • Fluent in English and French.
  • Proficiency in MS Office.
What do we offer
  • This internship is an excellent opportunity to discover an international working environment. Due to our leading position on the market you will gain a strong exposure to a variety of complex issues of an European real‑estate asset manager.
  • You will be fully integrated to our team and you will have the opportunity to work together and discover other departments such as Fund Management, Transactions, Development and Asset Controlling.
  • You will join a growing platform which will allow you to take‑over responsibilities rapidly.
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