Job Description
Our client, operating in the asset management industry, seeks a talented individual to provide expert advice and guidance on fund regulation and risk management. This is a broad based role covering UK and EU fund regulation, particularly areas outside mainstream UCITS regime - eg. AIFMD, money market funds regulation and securities financing transaction regulation. You will get involved in risk management in investment funds including margin preparedness, leverage methodologies, collateral requirements and broader aspects of risk management such as derivatives management and share class hedging. Other key responsibilities will include ( amongst others) fund structures and market access, including guidance on the Overseas Funds Regime and the evolution of LTAF/Private Market Funds.
This is an exceptional opportunity to work with a prestigious organisation who are highly regarded in the industry. The successful candidate will ideally have a minimum of five years experience in fund regulation or fund risk gained at an asset manager, a regulatory/trade body or a professional services firm. Asset Management experience is a key requisite for this role. Superb work/life balance and hybrid working too.
...