Analyst – Asset Management

  • Full Time
  • Norway

Equinor

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Personal Qualities

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We’re 23,000 colleagues in more than 30 countries delivering oil, gas, wind and solar power to 170 million people worldwide. Taking on tough energy challenges is our job. Right now, we’re facing an enormous task: supplying the world with the energy it needs, while lowering emissions.

We’re up for the challenge. Are you?

The position

By joining our team in CFO you will have the opportunity to:

 

  • Ensure quality and efficiency in automated processes related to financial instruments and transactions (market data, master data, settlement, payments, reconciliation, etc.).
  • Ensure correct Net Asset Value and compliance with legal requirements for mutual funds. 
  • Communicate with clients, counterparties, banks, custodian and depositary.
  • Risk monitoring and reporting; including evaluation and introduction of best practice risk measurement models.
  • Performance reporting.
  • Prepare documentation as required (tax, AML, legal agreements, etc.).
  • Perform internal controls.

Equinor Asset Management AS is a subsidiary of Equinor ASA. The company is authorised by The Financial Supervisory Authority of Norway as a Management company for securities funds and provides investment services within the Equinor group and to Equinor’s pension schemes. The activities include investments in equities, fixed income products and management of 10 mutual funds. Total assets under management amount to approximately NOK 130 billion. The company has 18 employees and offers a dynamic working environment which gives professional and personal development opportunities.

You

Some qualities are essential for Equinor. You identify with our values, open, collaborative, courageous and caring, which guide our decisions and help us succeed and grow. You make safety your priority and contribute to our zero-harm culture. For this position, we are also looking for:

  • Bachelor or master’s degree in business administration or finance.
  • An understanding or previous experience of financial products and financial risk management.
  • Being an advanced user of Microsoft Office products, experience with Bloomberg and SimCorp Dimension is an advantage.
  • Risk awareness and ability to identify and manage operational risk.
  • Self-driven and independent.
  • Accurate and proactive working habits.

General information

Please attach copies of your CV, diplomas, certificates and grades in English or a Scandinavian language.Through this link you can find important information on what to include in your CV, which will make the application process easier and faster.

Applications submitted without necessary attachments will unfortunately not be evaluated.
If you are in the process of completing a degree, please upload an official temporary transcript or other document describing subjects and grades completed to this point.

Candidates are expected to openly offer all relevant information about themselves during the recruitment process. Candidates will be asked for information on affiliation to high-risk countries for a security assessment. Furthermore, background checks are performed on all final candidates and all permanent and temporary hires will be screened against relevant sanctions lists to ensure compliance with sanctions law.

To apply for this job please visit careers.peopleclick.eu.com.