Investor Reporting Associate, Finance

Landing Point

New York (NY)

On-site

USD 62,000 - 83,000

Full time

14 days+
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Job summary

Landing Point is seeking an Associate for the Investor Reporting team within the Credit & Insurance division. You will support the Global Fund Finance group by preparing investor responses, distributing capital calls, and coordinating across multiple teams to provide timely LP information.

The role emphasizes accurate financial data handling, collaboration with offshore and onshore teams, and process improvement initiatives to enhance investor communications.

Qualifications

  • Undergraduate degree in finance or accounting preferred.
  • Proficient knowledge of Microsoft Office Suite (Excel, Word, PowerPoint).
  • 2-4 years of experience in Financial Services with a focus on CLO Compliance.

Responsibilities

  • Prepare and review responses to investor information requests with portfolio and financial details.
  • Create and distribute capital call and distribution notices to Limited Partners.
  • Coordinate with deal team, accounting, legal, tax, and marketing to deliver notices to investors.
  • Liaise with fund accounting, investor services, legal, tax, and finance teams for LP performance summaries.

Skills

Excel
Word
PowerPoint
CLO compliance

Education

Bachelor's degree in finance or accounting

Tools

Microsoft Office

Job description

Company Overview:

A leading global investment firm with over $1 trillion in assets under management is seeking an Associate for their Investor Reporting team within the Credit & Insurance division. This role is part of the Global Fund Finance team, focusing on servicing investors in various investment vehicles.

Job Responsibilities:
  • Prepare and review responses to information requests from investors, providing portfolio and financial information as needed.
  • Create and distribute capital call and distribution notices to Limited Partners.
  • Coordinate with deal team, accounting, legal, tax, and marketing to deliver notices to investors.
  • Liaise with fund accounting, investor services, legal, tax, and finance teams for LP performance summaries.
  • Maintain investor request database and track status of inquiries.
  • Assist in disseminating general correspondence with investors and internal requests.
  • Collaborate with team members to handle LP inquiries and participate in process improvement initiatives.
  • Assist with maintenance and postings of investor information.
  • Interface with the global credit and insurance team, accounting group, and other groups for new investor requests.
  • Oversee work performed by offshore team members as needed.
  • Explore opportunities to improve and streamline strategic processes.
  • Support the Global Fund accounting team in operational capacity for all investments.
  • Assist with investor-specific audit requests.
  • Liaise with the external legal team for LP transfer and name changes.
Qualifications:
  • Undergraduate degree in finance or accounting preferred.
  • Proficient knowledge of Microsoft Office Suite (Excel, Word, PowerPoint).
  • 2-4 years of experience in Financial Services with a focus on CLO Compliance.
Compensation:

Pay Rate: $45 - $60/hr, DOE

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