Responsibilities Manage and develop fund onboarding, mergers and closures processes Maintain existing funds by augmenting controls, improving processes and monitoring risks Enforce regulatory compliance and tax requirements for funds Conduct fund valuation and reconciliation, presenting to the committee Manage relationships with third-party investment managers Provide query support for internal teams Oversee third-party suppliers Requirements Experience with private equity/debt fund structures Product/fundoperations, accounting and administration background Professional qualifications as desired LoganSinclair LondonEngland