Director, IT, Solution Analyst (Banking/Fund of Funds)

Muf

Greater London

Hybrid

GBP 140,000 - 180,000

Full time

6 days ago
Be an early applicant
Application generator

An application made for this job — a tailored resume and cover letter that speak straight to the posting.

Get past ATS filters

Job summary

MUFG Investor Services seeks a Director of IT, Solution Analysis to lead front-to-back investment services, translating business needs into concrete solution designs and end-to-end configurations. You will shape processes for trade booking, cash forecasting, shadow NAV, and valuation, working across data, systems, and governance with a strong emphasis on data quality and regulatory readiness.

The role requires deep technical and business credibility, SQL/AI tooling experience, and a proven track

Qualifications

  • 10+ years of experience in investment operations, fund administration, or asset-servicing technology.
  • Hands-on configuration experience within investment data or portfolio accounting systems.
  • Strong SQL and database querying skills, and working exposure to at least one programming or scripting language (such as Python).
  • Strong working knowledge of order and trade management workflows, pre-trade compliance, cash flow forecasting and liquidity management, position-keeping, IBOR/ABOR, reconciliation, and valuation.
  • Substantial experience gathering, analysing, and documenting business requirements, and translating them into clear solution intent and acceptance criteria.
  • Ability to model business processes and produce analytical artefacts, such as process models, use cases, procedural guides, and scenarios.
  • Credibility with both business and technical stakeholders, with the ability to hold a view under questioning, including in senior governance settings.
  • A track record of owning delivery risk on implementations that mattered, not just executing tasks on someone else's plan.
  • Expert proficiency in Excel and Word.

Responsibilities

  • Act as the domain SME and analytical lead for our front-to-back investment services capability — spanning trade booking, pre-trade compliance, cash flow forecasting and liquidity, position-keeping, reconciliation, and valuation — and the systems and processes behind it.
  • Bring deep knowledge of order and trade management workflows, IBOR/ABOR accounting, shadow NAV, and valuation — including complex or non-standard asset classes such as private credit, private equity, and structured products — to the front-end shaping of solutions.
  • Conduct front-end analysis of complex work — feasibility, operating-model implications, data quality, and readiness — going directly to the data and systems yourself using SQL and AI tooling, rather than waiting for others to provide answers.
  • Own the configuration of our investment data systems directly: build and finalise configuration — including scripting and query-based logic where needed — in test and sandbox environments through to a working, production-ready answer, and decide when it's ready to be promoted.
  • Collaborate across stakeholder groups to define and document business requirements, and work alongside Solution Owners at the front end of complex work to shape intent and acceptance criteria for the parts that carry the most complexity.
  • Translate in both directions — representing technical limitations and implementation realities back to business stakeholders, and business intent back to engineers.
  • Own the working relationship with our technology provider's product and implementation teams, and represent this capability at senior governance forums, as the senior point of contact for it.
  • Identify risks a delivery team would not otherwise see — data gaps, downstream impacts, operational-readiness concerns, and regulatory implications — and partner with Integration Quality Engineers on cross-team test scenarios that no single team can cover.
  • Support adoption readiness where value realisation depends on more than the build — communications, training, data clean-up, and operational change.
  • Build training material and run engagement forums that upskill relevant roles elsewhere in MUFG in this area, so this expertise doesn't depend on any one person.
  • Recognise patterns across the business area — recurring themes, overlaps, and opportunities for reuse — feeding roadmap shaping, and maintain supporting product documentation such as system overviews and use cases.

Skills

SQL
Python/Scripting
Investment Operations Knowledge
Analytical Thinking
Stakeholder Management

Tools

Excel
Word

Job description

Director, IT, Solution Analyst (Banking/Fund of Funds)
  • Full-time
  • Rank: Director
  • Employment Type: Permanent Full Time

MUFG Investor Services provides asset servicing solutions to the global investment management industry. Leveraging the financial and intellectual capital of MUFG, one of the largest banks in the world with $2.8 trillion in assets, we provide clients access to a range of leading solutions from fund administration, middle-office outsourcing, custody, foreign exchange, trustee services and depository to securities lending and other banking services.

With a diverse and dynamic network of offices across the globe, MUFG Investor Services provides challenging and rewarding careers. We achieve this by offering continuous learning and development, a collaborative team work environment, promotion of work-life integration, and exposure to a wide variety of work. Imagine your future at MUFG Investor Services where you can grow professionally, in a diverse and inclusive workplace that rewards your contribution.

#LI-Hybrid

Front-to-Back Investment Services

Owns the front-end analysis that turns an emerging business need into a clearly defined, well-understood piece of work, with the outcome, scope, and rationale established before delivery begins.

Tech Solutions is MUFG Investor Services' technology organisation, reporting to the CTO. It's structured around five solution domains, each accountable for its own roadmap, budget, and outcomes. Within this structure, the role serves as a specialist analytical and subject-matter-expert resource aligned to the Fund Trading, BPO & Debt Services domain, while remaining deployable across domain boundaries as business priorities require.

The role brings deep investment-data and front-to-back operations expertise to the early stages of complex change — translating requirements into practical solution designs, and taking responsibility for the hands-on configuration of trade booking, pre-trade compliance, cash flow forecasting and liquidity, position-keeping, reconciliation, shadow NAV, and valuation. These capabilities underpin the service MUFG provides clients across front, middle, and back office, which is why the role is accountable for building and finalising that configuration itself, not just defining it.

Beyond the domain itself, the role contributes to the wider Tech Solutions organisation by building training material, artefacts, and knowledge-sharing forums — embedding this expertise more broadly and reducing dependency on any one person.

#LI-Hybrid

What you'll do
  • Act as the domain SME and analytical lead for our front-to-back investment services capability — spanning trade booking, pre-trade compliance, cash flow forecasting and liquidity, position-keeping, reconciliation, and valuation — and the systems and processes behind it.
  • Bring deep knowledge of order and trade management workflows, IBOR/ABOR accounting, shadow NAV, and valuation — including complex or non-standard asset classes such as private credit, private equity, and structured products — to the front-end shaping of solutions.
  • Conduct front-end analysis of complex work — feasibility, operating-model implications, data quality, and readiness — going directly to the data and systems yourself using SQL and AI tooling, rather than waiting for others to provide answers.
  • Own the configuration of our investment data systems directly: build and finalise configuration — including scripting and query-based logic where needed — in test and sandbox environments through to a working, production-ready answer, and decide when it's ready to be promoted. A dedicated engineering function then takes it through SDLC into live use and maintains it there.
  • Collaborate across stakeholder groups to define and document business requirements, and work alongside Solution Owners at the front end of complex work to shape intent and acceptance criteria for the parts that carry the most complexity.
  • Translate in both directions — representing technical limitations and implementation realities back to business stakeholders, and business intent back to engineers.
  • Own the working relationship with our technology provider's product and implementation teams, and represent this capability at senior governance forums, as the senior point of contact for it.
  • Identify risks a delivery team would not otherwise see — data gaps, downstream impacts, operational-readiness concerns, and regulatory implications — and partner with Integration Quality Engineers on cross-team test scenarios that no single team can cover.
  • Support adoption readiness where value realisation depends on more than the build — communications, training, data clean-up, and operational change.
  • Build training material and run engagement forums that upskill relevant roles elsewhere in MUFG in this area, so this expertise doesn't depend on any one person.
  • Recognise patterns across the business area — recurring themes, overlaps, and opportunities for reuse — feeding roadmap shaping, and maintain supporting product documentation such as system overviews and use cases.
Required
  • 10+ years of experience in investment operations, fund administration, or asset-servicing technology, with substantial exposure to trading, order management, position-keeping, or portfolio accounting systems.
  • Hands‑on configuration experience within investment data or portfolio accounting systems — comfortable working through APIs, configuration tools, and data models directly, not just functional specifications.
  • Strong SQL and database querying skills, and working exposure to at least one programming or scripting language (such as Python), used to build and verify configuration directly rather than through a technical intermediary.
  • Strong working knowledge of order and trade management workflows, pre‑trade compliance, cash flow forecasting and liquidity management, position‑keeping, IBOR/ABOR, reconciliation, and valuation, across standard and complex asset classes such as private credit, private equity, and structured products.
  • Substantial experience gathering, analysing, and documenting business requirements, and translating them into clear solution intent and acceptance criteria.
  • Ability to model business processes and produce analytical artefacts, such as process models, use cases, procedural guides, and scenarios.
  • Strong analytical judgement, knowing what to look at, what to ignore, and when analysis is good enough to act on.
  • Credibility with both business and technical stakeholders, with the ability to hold a view under questioning, including in senior governance settings.
  • A track record of owning delivery risk on implementations that mattered, not just executing tasks on someone else's plan.
  • Expert proficiency in Excel and Word.
Preferred
  • Experience delivering front‑to‑back investment services — spanning trade booking, cash management, or shadow NAV — through a technology‑enabled operating model, including configuring or extending the underlying systems yourself.
  • Familiarity with industry messaging and data standards such as FIX, SWIFT, or FpML.
  • Working knowledge of core accounting mechanics — cost basis, P&L, tax lots, corporate actions, and other instrument lifecycle events.
  • Breadth across more than one client operating model, asset class, or technology environment is also relevant and welcomed.
  • Prior experience owning a technology provider relationship, or acting as an organisation's primary point of contact for a business‑critical system.
  • Experience creating training material or leading enablement and upskilling initiatives across a wider organisation.
  • Experience of platform implementation, configuration, or migration projects.
  • Exposure to AI‑assisted analysis and discovery tooling.
What's in it for you to join MUFG Investor Services?

Take a look at our careers site and you'll find everything you'd expect from a career with the fastest-growing business at one of the world's largest financial groups. Now take another look. Because it's how we defy expectations that really defines us. You'll feel that difference in all kinds of ways. Our vibrant CULTURE. Connected team. Love of innovation, laser client focus, and next‑level LEARNING & DEVELOPMENT. Oh, and we really walk the talk when it comes to HYBRID WORKING.

So, why settle for the ordinary?

We thank all candidates for applying; however, only those proceeding to the interview stage will be contacted.

By clicking the link above or any third‑party link within this posting, you are leaving this site and going to a third‑party website where the third‑party website's terms and privacy policy apply

Get your free, confidential resume review.

or drag and drop your file here.

Similar jobs

Similar jobs worth comparing

VP, Systems Monitoring & Observability Technical Lead
VP, Systems Monitoring & Observability Technical Lead

WeAreTechWomen • Greater London

On-site
GBP 140,000 - 200,000
Associate, Client Data Quality - Client Lifecycle Management 12 month FTC
Associate, Client Data Quality - Client Lifecycle Management 12 month FTC

Mitsubishi UFJ Financial Group • City of Westminster

Hybrid
GBP 45,000 - 65,000
Flexible working opportunities
Generous pension contributions
Ongoing training programmes
+1
Vice President, Identity and Access Management
Vice President, Identity and Access Management

WeAreTechWomen • Greater London

On-site
GBP 110,000 - 160,000
Head of Transformation
Head of Transformation

Link Group • Leeds

On-site
GBP 150,000 - 210,000
Analyst / Associate, Portfolio Monitoring and Support
Analyst / Associate, Portfolio Monitoring and Support

Mitsubishi UFJ Financial Group • City of Westminster

Hybrid
GBP 65,000 - 90,000
Flexible working opportunities
Generous pension contributions
Ongoing training and development
Junior Associate Director, IT, IAM & PAM Technical Lead
Junior Associate Director, IT, IAM & PAM Technical Lead

Muf • Greater London

Hybrid
GBP 120,000 - 170,000
Hybrid work model
VP, Systems Monitoring & Observability Technical Lead
VP, Systems Monitoring & Observability Technical Lead

Mitsubishi UFJ Financial Group • City of Westminster

On-site
GBP 160,000 - 230,000
Vice President, Senior AI Engineer
Vice President, Senior AI Engineer

Mitsubishi UFJ Financial Group • City of Westminster

On-site
GBP 150,000 - 220,000
AVP, AI Engineer
AVP, AI Engineer

Mitsubishi UFJ Financial Group • City of Westminster

Hybrid
GBP 90,000 - 130,000
Flexible work
Pension contributions
Training programmes
+2
2027 MUFG UK Summer Analyst Programme: Global Corporate Investment Banking
2027 MUFG UK Summer Analyst Programme: Global Corporate Investment Banking

Aplaro Ltd • Greater London

On-site
GBP 23,000 - 29,000