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Product Manager/Product Management Associate/Junior Product, Alternatives Asset Manager, London
eFinancialCareers
Responsibilities
Execute NAV oversight and reconciliations (positions, pricing, cash, fees, hedging efficiency)
Verify and sign off NAV/AUM produced by the fund administrator
Challenge administrator valuations and resolve daily queries on valuations, trading, structuring and payments
Assist onboarding of new funds and third-party managers onto the platform
Partner with investment managers on revenue, expense rebates and distribution fees
Investigate and resolve hard-to-price and stale pricing exceptions
Monitor custody exceptions (unadvised cash, non-receipt, overdrafts, unmatched/failing trades)
Oversee daily cash flows from the transfer agent (monitor payments, trade flow, and broker settlements)
Reconcile regulatory reporting, prepare fund data for filings, and coordinate with vendors to meet investor tax and disclosure reporting deadlines
Requirements
Strong Excel skills and comfort with data analysis, Bloomberg proficiency, SQL familiarity
Experience in asset management, hedge funds, or private markets, with knowledge of the fund lifecycle and asset classes
Understanding of performance fee mechanics and regulatory reporting
Proactive, hands-on approach with strong problem-solving skills; able to build effective relationships with internal and external stakeholders
Apply now