Our client a leading Hedge Fund has a permanent position, within it’s London based Middle office team as an Analyst.
This is a hands-on role supporting a multi-asset global hedge fund, focused on ensuring the accuracy and integrity of fund cash reconciliations, enhancing data quality, and strengthening operational risk controls.You will play a key role in managing daily cash operations, wire processing, and exception investigation, ensuring alignment across fund administrators, internal systems, and Prime Brokers. The role also involves analysing reconciliation breaks, improving static data, and contributing to the refinement of reconciliation tools in collaboration with our Technology teams.
Success in this role requires a strong grasp of both OTC and listed financial products—including Interest Rate Swaps, CDS, Swaptions, FX Options, TRS, and listed Fixed Income—paired with sharp analytical skills, strong communication, and the ability to work across diverse internal teams including Treasury, Trade Assistants, and Fund Finance.
This is an excellent opportunity for candidates with Middle Office / reconciliation experience to develop within a fast-paced, high-performing hedge fund environment.
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