The fund manages in excess of $5bn across multiple asset classes and is set for a period of growth in the coming months down to exciting new fund launches. This vacancy not only requires detailed experience of UMR and collateral management but also, experience of working within a fast paced environment where no 2 days are the same. The successful candidate will be the subject matter expert within the business as they begin their journey of identifying a working business model within this new team. As time goes on, the team will grow too, most likely around this hire so the long terms opportunity for progression is most definitely there. Prior or exiting use of AcadiaSoft, Tri-Optima, Tri-Resolve, Cloud Margin etc. is highly desired.
As mentioned, not too many opportunities such as this exist in the market hence, it is genuinely a fantastic opportunity to make the switch from an IB or own the process from another buy-side business.