You’ll join a team which oversees the structuring, execution, and management of credit facilities, as well as strategic currency and interest rate risk management. This role involves close coordination with teams across Investments, Execution, Portfolio Monitoring, and Treasury, alongside external partners such as lenders, advisors, and administrators.
Key Responsibilities
1. Support the origination, negotiation, structuring, and execution of financing solutions across private capital products and mandates.
2. Lead the preparation of Treasury reports.
3. Contribute to the development and execution of financing and risk strategies, including derivative trading and daily financing operations
4. Build and maintain industry relationships to expand financing opportunities and market insights
5. Oversee third-party negotiations and execution of ISDA agreements
6. Manage financing facilities and derivative portfolios, ensuring covenant compliance and handling maturities
7. Lead strategic initiatives to enhance scalability through automation and outsourcing
Desired skills
8. 2+ years in Banking or Treasury (Bank, Alternative Lender, Sponsor, Advisor, or Corporate)
9. Strong understanding of loan products, FX, and interest rate markets
10. Experience in compliance monitoring and reporting
11. Proven track record with external counterparties
12. Exposure to private capital funds (equity or credit)
13. Advanced Excel skills (modelling, forecasting)
14. Knowledge of the secondaries market
Please note our advertisements use PQE/salary levels purely as a guide. However, we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.
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