Our client is a global alternative investments-focused hedge fund headquartered in Los Angeles. They have over $50 billion AUM, and utilize proprietary trading software and strategies that have allowed them to grow rapidly over the last decade to become one of the leading, and most competitive, asset managers. They are looking to hire strong operations candidates with a background in bank loans and structured credit products to join their team full-time.
Monitor and manage reconciliation of managed accounts daily
Maintain daily reports of transactions, accounts and rectify errors associated with trade and valuation discrepancies
Engage with, and enhance, inter-department relations and interactions with Portfolio Managers, systematic traders, and trustees
Provide proactive operational support to clients and resolve discrepancies etc.
Build and maintain strong relationships with customers and colleagues, addressing problems and answering all inquires in a timely manner
Participate in special technology projects as needed
Bachelor’s degree from an accredited university in Finance or a related field
At least 2 years’ experience working in an investment operations capacity (settlements, reconciliations, trade support etc.)
Knowledge of various systems e.g. Everest, Geneva, Bloomberg highly desired
Proficient in Excel (vlookup, pivot tables) and other Microsoft Office applications
Exceptional communication and organizational abilities
If you’re an intelligent, tech-savvy individual seeking a career in a fast-paced environment, this is a great opportunity to continuously challenge yourself professionally and be at the forefront of technological advancements in Finance. Apply now.