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Covéa Finance Tech Stack

Portfolio management and asset administration for French insurance groups

Financial Services Paris, Ile-de-France 51–200 employees Founded 2006 Partnership

Covéa Finance manages investment portfolios for a multi-brand insurance holding (MAAF, MMA, GMF). The stack—Power BI, Excel, VBA, SQL, Python, and Bloomberg—reflects a finance operations function focused on reporting and analytics rather than algorithmic trading. Hiring skews heavily toward finance (8 of 15 roles) with only 2 engineering positions, and projects cluster around regulatory compliance (T+1 settlement adaptation, DORA implementation) and internal tool automation, suggesting the org is navigating tightening European market rules while automating legacy spreadsheet-based workflows.

Tech Stack 10 technologies

Core StackPower BI Python Microsoft Office VBA Excel SQL Bloomberg Liquidnet

What Covéa Finance Is Building

Challenges

  • Automating management tools
  • Optimizing control processes
  • Adapting to regulatory changes
  • Identifying operational risks
  • Reducing r/l to t+1 on european markets
  • Data integration and monitoring
  • Optimizing project management processes
  • Budget allocation decision support
  • Implementing new compliance regulations
  • Compliance with dora regulation

Active Projects

  • Develop internal economic analysis tools
  • Contribute to pef
  • Participate in cross-functional working groups
  • Dynamic dashboards
  • Report automation
  • Developing specific control tools
  • Implementing corrective actions
  • Maintaining regulatory reporting
  • Adaptation to r/l reduction to t+1 on european markets
  • Automation of management tools

Hiring Activity

Steady15 roles · 5 in 30d

Department

Finance
8
Engineering
2
Data
1
Legal
1
Research
1
Support
1

Seniority

Senior
6
Intern
5
Mid
2
Manager
1
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About Covéa Finance

Covéa Finance is the asset and portfolio management subsidiary of Covéa, a French insurance group operating under three primary brands. Founded in 2006 and based in Paris, the company manages long-term investment performance across the group's capital and client portfolios. At 51–200 employees, the organization operates as an independent decision-maker within Covéa, handling portfolio strategy, regulatory reporting, and operational controls. Current hiring focuses on finance roles, with active work on settlement timeline compliance (EU T+1 shift), control automation, and internal reporting tools.

HeadquartersParis, Ile-de-France
Company Size51–200 employees
Founded2006
Hiring MarketsFrance

Frequently Asked Questions

What technology does Covéa Finance use for portfolio management?

Power BI (reporting), Excel and VBA (modeling), SQL and Python (data processing), Bloomberg (market data), and Liquidnet (trading infrastructure).

What regulatory challenges is Covéa Finance addressing?

Adaptation to EU T+1 settlement reduction, DORA (Digital Operational Resilience Act) compliance, and broader European regulatory reporting changes. Automation of management and control tools is a priority.

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