We’re looking for a detail-driven and commercially minded investment professional to join our team. This role sits at the heart of how investment strategies come to life, owning cashflow decisions, ensuring precision in execution, and helping deliver strong outcomes for our clients.
Requirements
- Strong background in finance, investments, actuarial, mathematics or similar
- Extensive experience in a similar, highly analytical role
- Advanced Excel skills (you’re comfortable building and working with complex models)
- Strong analytical and problem-solving capability
- Clear and confident communication skills, with the ability to tailor your message to different audiences
- Ability to manage priorities, work independently, and build strong stakeholder relationships
- Experience in cashflow or liquidity management, derivative and OTC contracts
- Experience in project management and a proactive mindset toward identifying and implementing process efficiencies, including leveraging automation to improve workflow scalability and accuracy
Benefits
- 401k Matching
- Retirement Plan