Portfolio Operations Specialist (H/F) – 9 month contract

Schroders

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Portfolio Operations Specialist (H/F)

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9-month contract

Who we’re looking for

Schroders Capital Management France (SCMF) is looking for a Portfolio Operations Specialist on a temporary basis to support the growing business for a minimum period of nine months. The person will take responsibility of the administration of several infrastructure debt funds and related transactions. The role is an opportunity to support and strengthen the current Portfolio Operations team which currently administers and monitors around 28 different funds, vehicles & mandates and over 100 transactions. 

The position is ideal for a motivated individual who wants to strengthen their existing operations experience, with a focus on private markets & infrastructure.

About Schroders Capital Management France

Schroders Capital Management France (SCMF) specializes in infrastructure financing (private debt and equity), regulated by the AMF and authorized to manage AIF. It is part of Schroders Capital, the private asset division of Schroders Group, providing investors with access to a broad range of private asset investment opportunities and customised private asset strategies.

Continuously seeking to grow its business by developing new products, tools and methodologies that meet the needs of investors, we are looking for a full-time Portfolio Operations Specialist to support this development and strengthen. The company’s Portfolio Operations team counts today 5 people.

SCMF currently manages/advises €3 billion in private and equity debt through different funds, vehicles & mandates. And counts nearly 20 professionals who also benefit from support functions in London and Luxembourg.

What you’ll do

The Portfolio Operation Specialist will be involved in the control, support and monitoring of Infrastructure Debt funds and support the team with the execution and administration of private debt transactions managed and advised by SCMF.

The main tasks will be:

1. Control and support with the acquisition of new transactions 

  • Assist the Investment Team in the acquisition of debt transactions & relevant processes such as eligibility checks, withholding tax & the control of purchase recommendations etc.
  • Prepare capital calls or check the capital calls prepared by an external service provider
  • Execute or assist with the settlement of the transaction

2. Daily management of transactions and asset portfolios

  • Set up and update transaction monitoring tool with financial and or fund characteristics
  • Resolve differences in calculations and coupon dates with the borrower and/or agent
  • Ensure the correct receipt of flows and follow up on acquired receivables

3. Administration of investment funds, reporting and control of NAV 

  • Calculate management fees, check invoices, arrange payment and ensure cash flows correctly accounted for
  • Day to day oversight of the Fund Accountant including validation of the NAV
  • Respond to questions and reporting requests both from internal and external stakeholders
  • Contribute to the production of quarterly reports and their verification if they are produced by external service providers

4. Operational management of daily WorldCheck process of investments

  • Take responsibility for daily maintenance of investments in KYI/AML database and PEP list
  • Daily management of WorldCheck and reacting to alerts and escalations as needed
  • Prepare Group or other reporting for AML/KYI as needed

5. Contribute to strong controls and governance 

  • Actively contribute to the improvement of existing operational processes
  • Update procedures as required.

The knowledge, experience and qualifications you need 

  • Business school degree or university degree
  • Minimum three years of experience in asset management industry: Middle Office, Back Office, Audit or an Accounting firm
  • Strong level of English speaking required good writing quality in French and English
  • Established understanding of debt financial instruments
  • Knowledge of investment funds and companies administration: Fonds Commun de Titrisation (FCT), Sociétés Anonymes, Société de Libre Partenariat (SLP), Limited Partnership (LP), Luxembourg Investment Vehicles (SA, SCS, SCSp, RAIF) etc…

The knowledge, experience and qualifications that will help

  • Knowledge of investment fund accounting (local accounting principles as well as IFRS standards, setting up the NAV, valuation of assets, etc…) is a strong plus
  • Experience with transaction monitoring tool such as eFront is also a plus, but not required

What you’ll be like

  • Attention to detail, autonomy and reliability
  • Dynamism and team spirit
  • Demonstrate initiative, ability to manage own workload & good organizational skills
  • Strong communication & interpersonal skills
  • You enjoy working in a reactive, creative and demanding environment

We’re looking for the best, whoever they are

Schroder Capital Management France is an equal opportunities employer and welcomes applications regardless of sex, marital status, ethnic origin, sexual orientation, religious belief or age

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