The purpose of this position is to carry out routine day-to-day administration of fund structures under the direction of a Client Relationship Manager.
Key responsibilities include:
Administering a complex range of funds, management companies and associated fund structures
Coordinating all company secretarial matters, including attendance and preparation of minutes for board meetings and shareholder meetings
Processing and coordinating routine and complex fund operations
Ensuring accurate investor records are maintained and processing all investor changes/transfers
You will need:
Experience in, or good knowledge of, the PE Funds industry, ideally within a Channel Island setting
To be studying towards a relevant professional qualification (preferably ICSA Diploma level or equivalent)