The individual will be responsible for :
Instruction & settlement of Private Asset trades. Processing of all clean cash payments via MT103 & MT202. Processing of MT210 instructions where required
Set up of all related assets within systems and ongoing maintenance and amendment of data. Monitoring income, repayments, break costs, Lender of Record, Commitment fees, Consent / Waiver Fees, ad hoc payments and advising internal / external parties of the amounts due.
Daily processing of rollovers, rate fixings, drawdowns and all aspects of the private assets, within departmental guidelines.
Running of Client Reporting with set deadlines and frequency. Respond to internal and external queries in a timely manner.
Reconciliation and reporting of internal systems to client, counterparty and TPA records.
Maintenance of internal Alternative Asset Operations systems and assisting in the further development of said systems.
Maintenance of internal Alternative Asset Operations systems and assisting in the further development of said systems.
Working closely with the team and management, to provide on-going improvement of the daily functions.
Assisting in the completion of Audit request, both internal and external.
Updating of team procedures.
To ensure all internal guidelines, processes and checks are undertaken and completed in an accurate and timely manner.
Monitoring of credit documentation, compliance certs etc.
Support for the Syndicated Loans Admin team, during increased volumes.
Build relationships with internal teams, agents, counterparts and the Front Office.
Adhering to company policies, values and beliefs.
We live by four behaviours at M&G Global Services and we ask all our employees to :