Job Description
The Opportunity
- Support daily P&L analysis and NAV calculations across credit-focused funds, including accruals and intra-NAV estimates
- Liaise with administrators and prime brokers to reconcile NAVs and ensure valuation accuracy
- Review FX exposures and advise on hedging needs across complex credit strategies
- Collaborate with asset managers on ad-hoc performance reports and trading analysis
- Contribute to pricing governance, process improvements, and regulatory initiatives
Requirements
- Qualified Accountant or CFA with strong numerical and analytical skills
- Experience in financial services, ideally within asset management or investment banking
- Familiarity with credit products is highly advantageous
If this opportunity is of interest, please apply directly to arrange a confidential consultation.
Contact Detail:
William Blake Group Recruiting Team