Job Description
We’ve partnered with a premier name within alternative investments on a search to identify their first treasury hire in London. This is part of a brand-new business unit that is being implemented within its global hubs hence, the role will encompass BAU, as well as projects.
The ideal candidate will have 6+ years of experience in a relevant role, with direct involvement in fund level cash management, liquidity forecasting, and use of a relevant TMS (preferably Hazeltree ). Coverage of various fund vehicles is highly desired (closed and open ended, CLOs, SMAs etc); experience with private debt is the ideal. This hire will be the first of its kind in London (as part of an existing core operations team) with support from global colleagues to build out this function and implement an optimised operating model.
In return, the business offers a ‘best-in-class’ benefits package in tandem with a competitive base salary and discretionary bonus. Working hours will be standard European hours, however, there may be occasions where you need to work beyond them for specific tasks/projects.