You will be responsible for: Ensuring all client reporting and servicing needs are delivered in accordance with client’s requirements and our legal obligations Ensuring the timely onboarding of new accounts across our range of UCITS funds, Private fund vehicles and separate accounts Understanding the clients’ investment objectives, assigned mandates and portfolio composition & strategy. Liaising and establish strong relationships with internal support teams to ensure client servicing needs are met Defining and managing team projects to enhance internal client service procedures in accordance with industry best practices You will possess at least 5 years of relevant industry experience including Experience with equity and fixed income strategies; experience in dealing with UCITS fund onboarding and queries & experience in the onboarding of segregated accounts as well as being Fluent in Spanish