About the role
About the Role:
Take ownership of monthly investor servicing reports across all products, ensuring accuracy, consistency, and timely delivery.
Manage a wide range of transaction monitoring and key reconciliations, including loan transactions, settlements, investor liquidity, and business operations.
Reconcile large data sets to support accurate reporting across Finance and Capital Markets.
Develop automation tools to streamline processes, reduce manual effort, and shorten timelines.
Prepare and monitor compliance certificates and assist with monthly management financials.
Identify and implement process improvements across investor reporting and financial reconciliations to enhance efficiency and control.
What we’re looking for:
A strong academic background (STEM, Data Science, or Finance preferred).
Sharp analytical and problem-solving skills with high attention to detail.
Proficiency in Excel, google sheets and comfort working with large data sets.
Experience using Python and SQL.
Strong organisational skills and the ability to manage cross-team deliverables.
Someone who thrives in an entrepreneurial environment and wants to have a real impact.
Nice to have:
Knowledge of machine learning techniques.
Strong SQL and interest in data engineering.
Interview process:
We’re not a slow-moving bureaucratic organisation so we try our best to get things moving as quickly as possible. For this role you can expect:
A virtual meeting with one of the team
An exercise to complete in your own time
Onsite interviews with the hiring Manager and senior team members