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Macquarie Group is seeking a Fund Controller for Insurance Capital Solutions to develop and manage fund control functions across a diversified portfolio. The role involves partnering with Credit and Insurance stakeholders and coordinating with Luxembourg, Gurugram teams, and external fund administrators to ensure accurate investor reporting and robust fund controls.
The Associate will engage with multiple asset classes, contribute to governance, and support day-to-day fund operations and
Accounting / Finance, Asset Management, Credit, Funds / Banking Administration, Operations
You will join our Fund Management team as an Associate with a specific focus on developing and managing the fund control functions for Macquarie Asset Management’s Insurance Capital Solutions funds and products.
You will be a trusted partner, engaging with a diverse range of business stakeholders in Credit and Insurance across a spectrum of different asset classes in. You will work collaboratively with other management teams in Luxembourg and Gurugram and external Fund Administrators who provide foundation support in managing ongoing investor reporting and fund control activities. You will also work closely with other internal operations stakeholders and external investors to meet various reporting and ad hoc obligations.
You will join our Fund Management team as an Associate with a specific focus on developing and managing the fund control functions for Macquarie Asset Management’s Insurance Capital Solutions funds and products.
You will be a trusted partner, engaging with a diverse range of business stakeholders in Credit and Insurance across a spectrum of different asset classes in. You will work collaboratively with other management teams in Luxembourg and Gurugram and external Fund Administrators who provide foundation support in managing ongoing investor reporting and fund control activities. You will also work closely with other internal operations stakeholders and external investors to meet various reporting and ad hoc obligations.
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