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Fund Operations Analyst - Jupiter Asset Management Ltd

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London

Hybrid

GBP 35,000 - 65,000

Full time

12 days ago

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Job summary

An established industry player is seeking a detail-oriented professional to join their Fund Operations team. This role involves overseeing NAV administration services and ensuring compliance with regulatory standards across various fund structures. You will play a crucial part in investigating valuation queries, managing daily valuations, and fostering relationships with internal stakeholders. With a hybrid working model, this position offers a balanced work/life environment while contributing to a collaborative team dedicated to excellence in fund management. If you are passionate about finance and eager to make an impact, this opportunity is for you.

Qualifications

  • Experience in Fund Administration is essential for this role.
  • Strong attention to detail and problem-solving skills are crucial.

Responsibilities

  • Investigate and resolve valuation-related queries promptly.
  • Support NAV control activities and ensure compliance with regulations.

Skills

Fund Administration Experience
Knowledge of Unit Trust Processes
Problem Solving
Communication Skills
Attention to Detail
Teamwork
IT Skills

Tools

Excel
Word
Bloomberg

Job description

Job Description

The Value of Active Minds

About Jupiter

Jupiter is one of the UK's leading investment management companies with over 500 employees and £51.3 billion worth of assets under management (as at 30th June 2024).

Jupiter provides investment services to individual and institutional investors through mutual funds (UK unit trusts, Luxembourg SICAVs and Dublin OEICs), separately managed accounts and sub-advised funds. Jupiter has experienced a period of international growth with offices open in EMEA and APAC.

The majority of our employees are based in our London office located just minutes from Victoria station which provides stair-free access from both the Underground's Victoria line and Rail platforms, as well as limited road crossings to the Jupiter office. Our London office was designed to encourage employees to live active, healthy lives with floor-to-ceiling windows that allow for greater natural light and the benefit of a private balcony, table tennis room, cycle storage and on-site shower and locker facilities. The short distance to Green Park and St James' Park also provides employees with a natural space to relax during their lunch break and a healthy alternative to office-based meetings.

We offer our UK employees a 3:2 hybrid working arrangement where Tuesdays, Thursdays and a third day of your choice are worked from the office. The other two days may be worked from home. This facilitates collaboration and allows employees to maximise productivity whilst maintaining a healthy work/life balance.

Background

In this role you will support the Fund Operations team in the oversight of all NAV administration services provided by Jupiter's strategic partners across several fund structures, including Unit Trusts, OEICS, SICAVs and Investment Trusts. The team plays a critical role in overseeing the provision of services by its Administrators and for ensuring the associated risk and governance frameworks meet regulatory and internal standards. You will also support the Fund Accounting & Fund Reporting teams in all NAV control activities across Jupiter's fund ranges to a high standard, applying appropriate challenge and escalation as required.

Key Responsibilities

  1. Investigating, resolving, and responding to valuation related queries in a timely manner.
  2. Daily valuations, analysing exceptions and escalating appropriately.
  3. Daily fair value and swing pricing adjustments.
  4. Calculations, accruals, subsidies and third-party invoices.
  5. Ongoing charges, yields and portfolio turnover rates.
  6. Distribution and performance calculations.
  7. Monitoring cash, stock, and derivatives reconciliations.
  8. Always follow approved documentation and templates in fulfilling day-to-day responsibilities, identifying and escalating any potential risks or required updates to colleagues for discussion.
  9. Support the wider team in ongoing critical reviews of the operating model and associated policies, identifying potential opportunities for automation or greater efficiency and ensuring consistency with best practice and regulatory guidelines.
  10. In addition, develop a good understanding of the upstream and downstream processes performed by Investment Operations and Transfer Agency, which should help to ensure that any associated risks are identified and managed appropriately.
  11. Foster a close relationship with internal stakeholders, particularly the Investment teams, ensuring Fund Accounting processes that impact other parts of the business are fully understood and managed appropriately.

Desired Skills / Experience

  1. Experience of working in a Fund Administration role essential.
  2. Detailed working knowledge of Unit Trust, Investment Trust and SICAV fund processes and UK / Luxembourg / Ireland regulations.
  3. Ability to investigate issues and proactively problem solve.
  4. Excellent written and verbal communication skills.
  5. Ability to interact confidently with colleagues and management.
  6. Strong accuracy and attention to detail essential.
  7. A flexible and team orientated approach to work.
  8. Strong general IT skills, including a sound working knowledge of Word, Excel and Bloomberg.

Additional Role Details

  1. This role is subject to the Conduct Rules set by the FCA.

Don't meet every requirement? At Jupiter we are dedicated to building a diverse and inclusive workplace, so if you are interested in this role, but don't think your experience aligns perfectly with every listed requirement in the job description, we would encourage you to apply. You may be the right person for this role.

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