Job Description
The role has three core elements: management of client relationships and communications across multiple jurisdictions, review and oversight of client deliverables and coordination of service delivery across various functional teams.
- Manage the client deliverables and coordinate with the Fund Accounting, Investor Services, Valuations and Operational teams in multiple jurisdictions
- Client relationship management, interacting with clients at various levels and develop plans to enhance client relationships
- Review of monthly, quarterly and annual financial statements and partner capital recording packages including all supporting work papers and disclosure documents
- Provide subject matter expertise for debt/loan investments
- Fund Administration, providing client service on a multitude of matters including recording and analyzing transactions, reconciliations; wire payments, call and distribution notices, and preparation of work paper packages
- Identify and implement process improvements
- Responding to client enquiries and requests
- Coordinate communications with the clients
- Preparation of client service plans, MIS, calendars and timelines
- On-boarding of new clients and funds
- Coordination of external audits
- Develop a network of industry contacts and attend industry events
- Support the sales team in business development for Private Debt/Private Equity funds