Our specialist Capital Markets division is comprised of experienced Investment recruiters, we have an exclusive network of Scarce Skilled Investment professionals across the industry internationally. We engage with leading talent in the Asset Management, Stockbroking, Investment Fund Administration, Investment Consulting, Reinsurance, Wealth & Investment, Private Equity and Corporate Finance sectors. The Capital Markets division has an impressive record of delivering to challenging client requirements by offering a bespoke consultative approach to the way we partner with our clients, designed to ensure lasting success.
Qualification and Experience: Bachelor of Commerce (Accounting/ Finance/Economics/ Financial Analysis) or relevant qualification Minimum 5-7 years’ investment operational experience in investment administration/ portfolio administration/financial markets Portfolio administration experience in unlisted debt, properties, private equity will be an advantage Sound experience working with different fund structures across various asset classes Ability to build systems and processes Person of high integrity and honesty Strong team focus Ability to function in a high-pressured environment and meet deadlines Highly organized, pay attention to detail and be accurate Possess a flair for numbers Excellent writing and communication skills Logical, reasoning and have an enquiring mind to pro-actively resolve issues and improve processes etc. Relevant computer literacy and IT skills with a strong focus on MS Excel ability (advanced) The successful candidate ... Read More
The successful candidate will be responsible for the following: - Manage credit exposure in portfolios in accordance with prescribed investment mandates guidelines Developing and managing a credit investment strategy which leads to credit portfolio construction through selecting credit investment opportunities on relative value analysis Responsible for monitoring credit exposure in portfolios after the selection and execution of investment decision Must have a sound understanding of Legislation governing Investment funds Managing concentration risk Responsible for credit pricing Proactively seek credit investment opportunities in order to meet portfolio risk and return targets by engaging with external debt origination teams with regards to sourcing of suitable unlisted credit investments and by engaging with external parties (e.g. banks and arrangers) to source listed credit opportunities in the primary and secondary markets Risk analysis and... Read More