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Arini Capital Management seeks an experienced professional to lead and evolve its investor reporting function across public, private and structured credit strategies. You will own end-to-end reporting, define standards, translate performance data into insights, and drive automation with technology teams.
Collaborating with Risk, Investor Relations, and Investment teams, you will ensure data quality, governance, and timely delivery, while supporting communication with a global investor base.
Arini Capital Management is a specialized alternative asset manager with a diverse credit investment offering across public and private credit, supported by a highly sophisticated global institutional investor base. Founded in 2021 with a primary focus on European credit markets and an approach rooted in fundamental credit analysis, Arini manages capital across a range of strategies, including long/short credit, structured credit, opportunistic credit, direct lending and asset-backed finance. The firm has global operations in London, New York, Abu Dhabi and Warsaw.
The successful candidate will play a key role in leading and evolving Arini’s investor reporting function, ensuring high-quality, accurate, and timely delivery of reporting outputs across the firm’s public, private and structured credit strategies.
This role sits at the intersection of Risk, Investment, and Investor Relations, requiring close collaboration with senior stakeholders to define reporting standards, interpret performance data, and support investor communication. The individual will take ownership of the reporting framework, driving continuous improvements in processes, data quality, and scalability.
The position combines strong business and analytical responsibilities, with a focus on translating complex investment data into meaningful insights, while also identifying opportunities for efficiency and automation in partnership with technical teams.