Join a major institutional Asset Manager with over $100 billion in Assets Under Management (AUM), renowned for its expertise in Equity strategies across 150+ funds. With an impressive track record of performance, this firm is expanding its portfolio into Global Quant and Fixed Income Bonds, reflecting its commitment to innovation and growth. Known for its collaborative culture, hybrid working conditions, and exceptional employee retention, this is an exciting opportunity to be part of a company that prioritizes excellence and a supportive working environment.
The Role:
This newly created position offers the opportunity to shape and guide the firm's UK Operations presence for Pooled Funds and Irish UCITS. You will play a pivotal role in supporting fund launches, terminations, restructures, and ongoing operational processes while addressing complex challenges in Fund Accounting, Operations, and Tax.
Key responsibilities include:
- Managing the operational aspects of Pooled Funds and UCITS.
- Supporting fund launches, transitions, subscriptions, and redemptions.
- Collaborating with investment managers, custodians, and fund administrators.
- Ensuring smooth operations and compliance for EU, US, and Cayman fund structures.
- Troubleshooting and resolving issues related to Fund Accounting and Tax.
About You:
To succeed in this role, you will bring:
- Demonstrated experience in fund oversight, fund operations, or investment management operations.
- In-depth knowledge of Pooled Funds and UCITS structures.
- Familiarity with the mechanics of EU, US, and Cayman funds.
- Comprehensive understanding of Fund Administration processes.
- Excellent stakeholder management and problem-solving skills.
What they Offer:
- Competitive compensation and benefits package.
- A dynamic, growth-oriented environment.
- Hybrid working conditions.
- Opportunities to contribute to innovative fund strategies and launches.