Fund Administrator 6 month FTC - Carnegie Consulting
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Added before 11 hours
- England,London,City of London
- Full Time, Permanent
- Competitive salary
Job Description:
Fund Administrator 6 month FTC Private Debt
Our client is one of Europe’s leading private debt funds managing and advising approximately $20 billion of capital.
There is currently an opportunity for a Fund Administrator to join the Senior Fund Controller team on a 6 month FTC. This role offers an excellent opportunity for someone from a third party fund administrator firm to gain experience in a dynamic and fast-growing investment firm.
About the role
*The Fund Administrator will work across the Accounts team and with other members of Finance and Administration with updating investor information, and corresponding with LPs regarding Distributions, Drawdowns and Financials
*Generating and distributing Drawdown and Distribution Notices, tax information, compliance details and financials to investors
*Updating Static Data across Investran and the Investor Portal, including updating deals and positions on Investran
*Liaising with IR to ensure new Investors are accurately added to Investran and the Investor Portal
*Assisting with investor queries
*Liaising with the Luxembourg AIFM to assist with fund administration, including maintaining LP and Share registers
What we are looking for
*A strong team player, flexible, highly motivated and have good attention to detail
*Ideally have an accounting administration background from a UK based third party fund administrator or someone working as an in house fund administrator at a fund manager
*Proficient in the use of Investran and Microsoft Office 365
Our client is one of Europe’s leading private debt funds managing and advising approximately $20 billion of capital.
There is currently an opportunity for a Fund Administrator to join the Senior Fund Controller team on a 6 month FTC. This role offers an excellent opportunity for someone from a third party fund administrator firm to gain experience in a dynamic and fast-growing investment firm.
About the role
*The Fund Administrator will work across the Accounts team and with other members of Finance and Administration with updating investor information, and corresponding with LPs regarding Distributions, Drawdowns and Financials
*Generating and distributing Drawdown and Distribution Notices, tax information, compliance details and financials to investors
*Updating Static Data across Investran and the Investor Portal, including updating deals and positions on Investran
*Liaising with IR to ensure new Investors are accurately added to Investran and the Investor Portal
*Assisting with investor queries
*Liaising with the Luxembourg AIFM to assist with fund administration, including maintaining LP and Share registers
What we are looking for
*A strong team player, flexible, highly motivated and have good attention to detail
*Ideally have an accounting administration background from a UK based third party fund administrator or someone working as an in house fund administrator at a fund manager
*Proficient in the use of Investran and Microsoft Office 365
Job number 3606011
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