SonicJobs Logo
Left arrow iconBack to search

Senior Investment Services Analyst - City Fund Manager

MARKET TALENT
Posted 8 hours ago, valid for 16 days
Location

London, Greater London EC2V 7WS, England

Contract type

Full Time

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.

Sonic Summary

info
  • Our client, a City-based Multi-Asset fund manager, is looking for a highly experienced Investment Operations professional with a minimum of 8 years of experience in fund operations and security settlements.
  • The role requires a self-starter who can confidently join the team and manage various responsibilities, including oversight of outsourced custody and middle/back-office functions.
  • The position offers a salary of £70,000 - £90,000, commensurate with experience, and involves supporting trading desks and fund managers while managing projects and providing expert advice on custody issues.
  • Key tasks include daily reconciliation, monitoring trade flows, processing security and FX trades, and ensuring accurate regulatory reporting.
  • The firm currently manages over £10 billion in assets and employs over 170 staff in the UK.

Our client, a City based MultiAsset fund manager is seeking a highly experienced Investment Operations person with 8 years minimum experience of fund operations, security settlements and various other duties. They are seeking a self starter who can join the team confidently and hit the ground running. Current AUM is circa £10+ billion with over 170 employees in the UK.

Overall Job Purpose

  • Oversight with the tema for our outsourced custody and middle/back-office functions responsible for trade processing, matching and settlement; security reconciliations and standing data maintenance, all within agreed quality, timing, and output targets, together with NAV reconciliation (investment trusts) and Corporate Actions.
  • Responsible for supporting trading desk and fund managers. React to and resolve issues as and when they arise, so must have a thorough understanding of the end-to-end investment management process.
  • Manage and deliver projects as directed by the Senior Investment Services Manager and the Head of Investment Services.
  • Act as cover / support for the Head of Investment Services - Fixed Income during periods of absence / busy periods.

General Support

  • Support Senior Investment Services Manager and Head of Investment Services with their responsibilities as required.
  • Implement, manage and contribute towards projects as required (i.e. system, product and regulatory changes).
  • Act as a subject matter expert for custody and middle/back-office issues.
  • Contribute to oversight program for all functions carried out by third party vendors.
  • Provide support to the Head of Investment Services - Fixed Income

Middle Office

  • Review daily reconciliation of stock and cash between Bloomberg AIM and NT IOO records and assist in the investigation of breaks where necessary.
  • Daily portfolio reconciliation against the fund administrators / custodian NAV reports; investigation of all differences outside of agreed tolerance levels, updating of cash positions on Bloomberg AIM to agree to NAV reports (investment trusts)
  • Any other reconciliation requirements (e.g. structured product pricing).
  • Monitoring all aspects of derivative lifecycle (ETF and OTC).
  • Investigate and resolve any breaks with prime brokers and fund administrators (CFD trading).
  • Ensure that all regulatory reporting is carried out either internally or by outsource partners accurately and within deadlines.
  • Monitor oversight of daily Bloomberg RHUB function, including management of periodic reconciliation and maintenance of associated issues log.
  • Respond to queries from internal and external partners and clients and escalate where necessary to senior managers.
  • Instruction of Investment Manager decisions for all non-mandatory corporate actions to third party administrator / custodian.
  • Completion and maintenance of tax documentation (e.g. W-8BEN-E).
  • Production of Internal MI as requested.
  • Monitoring trade flow to outsourced middle office.
  • Process security and FX trades; instruct settlement of trade transactions in line with the underlying fund’s valuation points and reporting requirements.
  • Utilising CTM OMGEO, monitor trade matching process, check output, record unmatched items and then follow up (investment trusts).
  • Send trade instructions to fund administrator via web portal upload or email and ensure all transaction cut-off periods are met (investment trusts).
  • Issue settlement instructions for trades (utilising CTM OMGEO, web portal upload or via fax) and other transaction types to custodian within agreed timescales (investment trusts).
  • Match security trades based on details received from fund managers and brokers; resolve trade discrepancies with brokers.
  • Liaise internally with Dealing Desk to update trades; check output to ensure that details are accurately reflected onto the portfolios.
  • Follow up queries with client / brokers; daily check of failed trades information received from custodian as well as investigating interest claims that have been received.
  • Ensure trade confirmations where required, are received from brokers.
  • Process fund payments, notifying fund managers of cash movements.
  • Process and submission of placing / sub-underwriting participation documentation, including onward reporting to fund administrators / custodians for settlement & inclusion in NAV(s) where applicable.
  • Reconciliation of month end financing fees, interest (CFD trading).
  • Month end stock reconciliations to custodian records (investment trusts/seg mandates).

Apply now in a few quick clicks

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.