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Job Location | London |
Education | Not Mentioned |
Salary | Competitive salary |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent,full-timeB |
Client West End based Private Debt firm. Brief Notes We are a small team, we need someone qualified with a passion for the buy side, with an excellent personality and a "can do" attitude. We are looking for a long term hire not someone looking for a steppingstone into Front Office. Responsibilities The interaction of the different entities in the Private Debt fund structures will need to be understood and monitored. An understanding of Limited Partnership Fund structures (Limited Partnership Agreements, waterfalls,Equalisations etc) is essential. Preparation and review of quarterly reporting in conjunction with external administrators including, Financial reports, NAV reconciliations and Capital Accounts Statements to investors. Preparation and review of performancecalculations including IRR and carried interest. Fund cash management including, where appropriate, use of RCF and leverage facilities or capital calls from investors to ensure adequate liquidity while minimizing cash drag. Ensure the correct processing offund activity including hedging, excluded investors, non-standard fund terms, bespoke reporting requests etc. Co-ordinate and review regular capital call and distribution notices to large volumes on investors through multiple feeder entities in multiple currencies.Preparation and review of Equalisation and rebalancing calculations. Overseeing administrators and tax advisors and lead for allocated funds. Working with the Investor Relations team to provide timely responses to investor queries. Providing Input into thesetup of new funds, including input into LPA and other legal documents. Managing audits for allocated funds, review of LUX and K-1 tax returns. Providing assistance in various ad-hoc tasks and projects including current data migration project