Responsibilities
- Oversee the operational lifecycle of credit investments from trade execution through funding, servicing, repayments, restructurings, and portfolio exit activity.
- Serve as the primary operations oversight contact for assigned investment products, funds, and investment teams.
- Oversee the performance of outsourced middle- and back-office service providers, ensuring operational accuracy, timely execution, and adherence to established procedures.
- Partner with internal stakeholders and third-party providers to support new fund launches, separately managed accounts, financing structures, and strategic business initiatives.
- Review operational activity including trade processing, cash movements, reconciliations, position reporting, and investment data to ensure completeness and accuracy.
- Support the development and enhancement of operational controls, governance frameworks, and standard operating procedures.
- Partner with portfolio management, finance, legal, compliance, technology, investor relations, and fund accounting teams to deliver scalable operational support.
- Identify opportunities to improve operational processes, data quality, automation, and reporting capabilities across the investment platform.
- Support operational due diligence meetings with investors, counterparties, auditors, and other external stakeholders.
- Contribute to strategic projects focused on operational efficiency, technology enhancements, and platform scalability.
Qualifications & Preferred Experience
- 6+ years of experience in investment operations, middle office, fund operations, loan operations, or alternative asset management.
- Strong understanding of private credit, structured credit, specialty finance, commercial real estate debt, or alternative investment operational workflows.
- Experience overseeing outsourced service providers, fund administrators, or middle-office operating models.
- Familiarity with complex credit products, financing structures, and investment transaction lifecycles.
- Experience supporting fund launches, separately managed accounts, or new investment platform initiatives is preferred.
- Strong understanding of operational controls, reconciliation processes, cash management, and governance best practices.
- Excellent analytical, organizational, and problem-solving skills with exceptional attention to detail.
- Ability to work independently while collaborating effectively across investment, finance, legal, compliance, and technology teams.
- Bachelor's degree required; advanced degree or relevant professional certifications are a plus.
- Medical, Dental, and Vision Insurance
- 401(k) Retirement Plan
- Paid Time Off and Holidays
- Professional Development Opportunities
- Performance-Based Incentive Compensation