Post Trade Operations & Reporting

Posted 1 hour 56 minutes ago by Kennedy Pearce Consulting

Permanent
Full Time
Other
London, United Kingdom
Job Description

Our client, a leading Investment Manager, is currently seeking a Post Trade Operations & Reporting Specialist.

Hybrid Working - Permanent

Industry Experience: Hedge Fund, Asset Management, Financial Services

The successful candidate will be an integral member of the global Operations team, you will play a key role in driving our trade settlement and reconciliations activity and client reporting processes, working closely with client teams and acting as a primary point of escalation.

We are looking for someone with proven experience, driven and a strong team player ethos. Attention to detail and excellent communication skills are essential, given the bespoke reporting solutions we provide to a wide-ranging group of clients.

Key Responsibilities:
  • Support the management team with strategic and tactical projects, including the onboarding of third-party providers to enhance reporting capabilities.
  • Oversee all reporting cycles, ensuring reports are delivered on time and metrics tracked.
  • Oversee settlement and reconciliation activity, ensuring accounts are signed off daily and metrics tracked.
Client Reporting
  • Prepare and review performance reports, accurately and on time as part of the annual reporting cycle.
  • Reports include quarterly client performance statements, annual client tax reports, client invoice calculations in line with client fee agreements, annual costs & charges reports and additional bespoke and ad hoc reports to support client meeting materials.
  • Investigate reporting errors or issues as identified by the internal system's automated checks, data validations or by other reviewers.
Settlement & Reconciliations Activity
  • Proactively monitor trade settlements and reconciliations across investments including mutual funds, daily dealing funds, hedge funds, private equity and cash; adhering to trade settlement policy and procedures.
Candidates must have experience:
  • Prior experience within Investment Operations and Client Reporting
  • Highly organised with the ability to manage and prioritise daily workloads to ensure deadlines are met.
  • Self-starter with a solution driven mindset and team player ethos.
  • Strong proficiency in Microsoft Office (Excel, Power BI, PowerPoint, Word, Outlook).
  • High degree of integrity and professionalism with strong interpersonal and communication skills

£130000 - £140000 per annum + Hybrid working, benefits and bonus