Asset manager with €55B AUM, building risk and compliance automation
Arkéa Asset Management manages €55 billion for retail and institutional clients within the Crédit Mutuel Arkéa banking group. The tech stack is heavily Excel/VBA/Bloomberg-dependent with Python, SQL, and GCP supporting analytics, while active hiring skews toward finance and data roles — a pattern consistent with their project focus on regulatory reporting, risk mapping, and internal control automation. Data quality and reporting optimization recur across their pain-point list, suggesting manual processes remain a bottleneck despite their scale.
Arkéa Asset Management is an asset management subsidiary of Crédit Mutuel Arkéa, a major French banking group. The firm manages €55 billion in assets under management across quoted securities, private debt, and structured investment solutions for both individual and institutional clients. With 200 employees, the company operates from France and maintains investment banking relationships that anchor client acquisition. The business model relies on regulatory compliance, risk control, and client reporting as core operational functions.
Arkéa Asset Management employs approximately 200 people and is headquartered in Finistère, France (postal code 29480). The firm manages €55 billion in assets under management.
Primary tools include Excel, VBA, Bloomberg, Python, SQL, and Google Cloud Platform. The stack also includes Apache Airflow for workflow orchestration, R for analysis, and Google Workspace for collaboration.
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