Purpose of the role:
This role is to join a newly formed investment and compliance sub-team, focusing on investment and compliance related matters for a single large client.
Responsibilities:
- As a senior member of the IC Sub-team to act as a secondary point of contact for the management of entities under administration in the context of investment and divestments, which may require dealing with queries from the Client, the different Boards of Directors, the Investment Manager and other third parties involved in time sensitive and highly confidential operations
- Assist with the coordination of the approval process of all investments and divestments on a range of different structures established primarily in Jersey, the US and Luxembourg
- Assist with ensuring the timely production and circulation of Board packs in respect of Board, Committee and ad-hoc meetings concerning investments and divestments
- Be involved in the Group initiatives relating to Compliance matters
- As a senior member of the IC Sub Team, to act as a secondary point of contact on regulatory matters with the Client
- To assist with the co-ordination of AML CDD Committee meetings, drafting minutes (templates available), action logs and working on compliance related projects impacting the wider team
Skills required:
- Positive and proactive approach
- Previous administration experience supported by a relevant professional qualification (ICSA Diploma level or equivalent)
- Previous on-boarding or banking experience
- General understanding of fund structures