Overview
Purpose: The VP, Capital Operations role supports the Capital Team in leading the ongoing management and servicing of third-party capital, including the management of the Ariel Re Capital Partners Vehicle. The role will be tasked with responsibility for the onboarding of new capital providers, as well as the day-to-day management of relationships with existing capital providers. The role will involve review of legal documentation relating to all aspects of onboarding new investors, including the management of a number of third-party vendors involved in the onboarding process. This dynamic role requires a multi-tasking, detail orientated, technically experienced individual. Responsibilities will include contributing toward various, ongoing capital initiatives.
Responsibilities
* Review and approval of the quarterly NAV statements of investor vehicles, including responsibility for expense allocation
* Manage existing investor relations – organize quarterly financial reporting and meetings, address investor requests and lead special projects
* Oversight of third-party vendors, including fund administrator, insurance manager and auditors
* Drive the timely and accurate reporting of financial results and related management information to support internal and external stakeholders
* Work closely with other Ariel Re teams (e.g., Underwriting, Analytics, Claims, etc.) to develop effective management reports highlighting Ariel Re’s differentiation
* Review and approve legal documentation relating to investor onboarding and annual share issuance
* Manage the KYC process (both maintenance for exiting investors and set-up for new investors)
* Oversight of quarterly capital projections.
* Be the main point of contact between the Capital Team and Finance Team
* Manage strategic special projects and be able to undertake complex ad hoc data requests
Role Requirements, Qualifications, Skills & Competencies
* CPA (or other equivalent accounting designation) or CFA with 8 plus years of experience (including 5 plus years of relevant industry experience).
* Recent experience in Fund Administration or oversight of investor vehicles
* Recent experience in managing existing investor relationships
* Recent experience in developing and maintaining effective management reports
* Working knowledge of Lloyd’s of London
* Expert proficiency with the Microsoft Office Suite of applications, notably Excel
* Experience in automation of processes, with a focus on improvement in accuracy and efficiency
* Excellent verbal and written communication skills
* Flexibility to work nontraditional office hours as needed
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