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      1 Permanent Trustpilot job in Essex + 20 miles

      Investment Broker

      Prestige Gold Solutions Limited
      St James, South West London (SW1), W1J 9DZ
      £30,000 per annum Plus bonus and commission
      5-star reviews on Trustpilot
      5-star reviews on Trustpilot

      5 exact matches jobs are outside your preferred location

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      The FP&A Manager / Analystwill be reporting to the Head of FP&A, you will be instrumental in financial planning, forecasting, and performance analysis, supporting both existing operations and new site expansion. FP&A Manager / Analyst A rapidly scaling, London-based consumer business is looking for a detail-oriented and commercially minded FP&A Manager / Analyst to join its growing finance team. * Support new site openings and capex planning * Build financial models (NPV, IRR) * Strong Excel and financial modelling skills * Sector: Multi-site, High-Growth hospitality business * Location: West London ( 4 days in West London office) * Salary: £60-65K+ bonus - Responsibilities * Lead budgets and rolling forecasts * Analyse performance, KPIs, and profitability * Partner with Operations, Property & leadership teams * Deliver insights to senior stakeholders and investors - Candidate Profile * Qualified accountant (ACA / CIMA / ACCA preferred)
      The FP&A Manager / Analystwill be reporting to the Head of FP&A, you will be instrumental in financial planning, forecasting, and performance analysis, supporting both existing operations and new site expansion. FP&A Manager / Analyst A rapidly scaling, London-based consumer business is looking for a detail-oriented and commercially minded FP&A Manager / Analyst to join its growing finance team. * Support new site openings and capex planning * Build financial models (NPV, IRR) * Strong Excel and financial modelling skills * Sector: Multi-site, High-Growth hospitality business * Location: West London ( 4 days in West London office) * Salary: £60-65K+ bonus - Responsibilities * Lead budgets and rolling forecasts * Analyse performance, KPIs, and profitability * Partner with Operations, Property & leadership teams * Deliver insights to senior stakeholders and investors - Candidate Profile * Qualified accountant (ACA / CIMA / ACCA preferred)
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      PREMIUM

      Senior Financial Analyst

      Robert Half Limited
      City of London (EC1)
      £55000 - £57000 per annum
      Robert Half are partnering with a global management consultancy to recruit a Senior Financial Analyst to join their Regional FP&A team in London. This is an excellent opportunity for an experienced FP&A professional to work closely with senior finance leaders across multiple international markets while contributing to forecasting, budgeting, and performance insight for a growing professional services organisation. Reporting into the Regional FP&A leadership team, you will play a key role in supporting budgeting, forecasting, and financial performance analysis across international markets. You will work closely with finance teams across multiple countries, helping ensure consistency in reporting, improving financial processes, and delivering meaningful insights to support strategic decision-making. * Preparing forecast analysis, commentary, and supporting presentation materials for ...
      Robert Half are partnering with a global management consultancy to recruit a Senior Financial Analyst to join their Regional FP&A team in London. This is an excellent opportunity for an experienced FP&A professional to work closely with senior finance leaders across multiple international markets while contributing to forecasting, budgeting, and performance insight for a growing professional services organisation. Reporting into the Regional FP&A leadership team, you will play a key role in supporting budgeting, forecasting, and financial performance analysis across international markets. You will work closely with finance teams across multiple countries, helping ensure consistency in reporting, improving financial processes, and delivering meaningful insights to support strategic decision-making. * Preparing forecast analysis, commentary, and supporting presentation materials for ...
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      We're looking for a Senior Investment Accountant to join a UK life insurance business undergoing an exciting post-acquisition US GAAP accounting transition. * Qualified accountant (ACA, ACCA, CIMA) with strong US GAAP investment experience. This is a hands-on, technical role, reporting into the Head of Investment Accounting & Reporting, and working closely with internal stakeholders and external consultants. * Apply your US GAAP investment accounting expertise (ASC 320, EIR, OCI, debt vs loan classification) across a broad investment portfolio. * Design and implement interim processes, controls, and future-state operating models for investment accounting. * Work across diverse investments, including corporate bonds, sovereigns, private debt, commercial mortgages, and infrastructure loans. * Big 4 Audit or Accounting Advisory background, ideally Senior/Assistant Manager level.
      We're looking for a Senior Investment Accountant to join a UK life insurance business undergoing an exciting post-acquisition US GAAP accounting transition. * Qualified accountant (ACA, ACCA, CIMA) with strong US GAAP investment experience. This is a hands-on, technical role, reporting into the Head of Investment Accounting & Reporting, and working closely with internal stakeholders and external consultants. * Apply your US GAAP investment accounting expertise (ASC 320, EIR, OCI, debt vs loan classification) across a broad investment portfolio. * Design and implement interim processes, controls, and future-state operating models for investment accounting. * Work across diverse investments, including corporate bonds, sovereigns, private debt, commercial mortgages, and infrastructure loans. * Big 4 Audit or Accounting Advisory background, ideally Senior/Assistant Manager level.
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      Reinsurance FP&A Lead

      High Finance (UK) Limited
      City of London (EC1)
      £100000 - £130000 per annum
      This is a pivotal role partnering directly with business unit leads, underwriting teams, and senior finance stakeholders to drive performance, insight, and smarter decision-making. * Lead plan, forecast, and close processes across the underwriting P&L - I am currently partnering with a well-established London market insurer in search for an experienced FP&A Leader to take ownership of the full underwriting P&L across LatAm and London FAC portfolios. * Proven FP&A experience within insurance * Qualified accountant (essential) * Analytical, solutions-focused, and comfortable in a fast-paced environment * Build and enhance reporting & analytics for international FAC portfolios * Deliver sharp variance analysis and actionable insights * Partner with cost centre owners to proactively manage expenses * Develop KPIs and performance models (including enhancement of Anaplan)
      This is a pivotal role partnering directly with business unit leads, underwriting teams, and senior finance stakeholders to drive performance, insight, and smarter decision-making. * Lead plan, forecast, and close processes across the underwriting P&L - I am currently partnering with a well-established London market insurer in search for an experienced FP&A Leader to take ownership of the full underwriting P&L across LatAm and London FAC portfolios. * Proven FP&A experience within insurance * Qualified accountant (essential) * Analytical, solutions-focused, and comfortable in a fast-paced environment * Build and enhance reporting & analytics for international FAC portfolios * Deliver sharp variance analysis and actionable insights * Partner with cost centre owners to proactively manage expenses * Develop KPIs and performance models (including enhancement of Anaplan)
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      Capital & Liquidity Management Specialist Job Title: Capital & Liquidity Management Specialist * Lead financial risk management across TSS Custody & Clearing, identifying material credit, settlement and liquidity risks and driving timely mitigation. * Extensive experience in financial risk management within a banking environment, with senior accountability for credit, settlement or liquidity risk. In this role, you will own and drive the financial risk agenda across the entire Trust & Securities Services (TSS) franchise, with a particular focus on shaping the future of risk management in our Custody and Clearing businesses. You will be at the centre of some of the most complex, high-value transaction flows, acting as the senior authority on credit, settlement and liquidity risks and influencing decisions that directly impact Deutsche Banks global clients and balance sheet. Position Overview
      Capital & Liquidity Management Specialist Job Title: Capital & Liquidity Management Specialist * Lead financial risk management across TSS Custody & Clearing, identifying material credit, settlement and liquidity risks and driving timely mitigation. * Extensive experience in financial risk management within a banking environment, with senior accountability for credit, settlement or liquidity risk. In this role, you will own and drive the financial risk agenda across the entire Trust & Securities Services (TSS) franchise, with a particular focus on shaping the future of risk management in our Custody and Clearing businesses. You will be at the centre of some of the most complex, high-value transaction flows, acting as the senior authority on credit, settlement and liquidity risks and influencing decisions that directly impact Deutsche Banks global clients and balance sheet. Position Overview
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      LCHs ForexClear division is looking for a Senior Risk Analyst to support the day-to-day risk management of our OTC foreign exchange clearing service. With extensive experience, deep knowledge and worldwide presence across financial markets, we enable businesses and economies around the world to fund innovation, manage risk and create jobs. The successful candidate will also have opportunities to support new product risk assessments and process enhancements, contributing to the ongoing development of risk capabilities at ForexClear. Risk Monitoring * Escalate daily risk exposures and produce regular reports highlighting material risk drivers. * Validate data inputs and pricing models used in risk calculations and margin processes. * Support the review and back-testing of risk models to ensure alignment with market behaviour.
      LCHs ForexClear division is looking for a Senior Risk Analyst to support the day-to-day risk management of our OTC foreign exchange clearing service. With extensive experience, deep knowledge and worldwide presence across financial markets, we enable businesses and economies around the world to fund innovation, manage risk and create jobs. The successful candidate will also have opportunities to support new product risk assessments and process enhancements, contributing to the ongoing development of risk capabilities at ForexClear. Risk Monitoring * Escalate daily risk exposures and produce regular reports highlighting material risk drivers. * Validate data inputs and pricing models used in risk calculations and margin processes. * Support the review and back-testing of risk models to ensure alignment with market behaviour.
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      Date Posted: 17/03/2026 - Location: London - Job Type: Full time - Location: London (Hybrid 50%) Contract: Permanent - Hours: 35 hours - Purpose - To support the Head of Financial Resilience to assess, demonstrate and improve the financial resilience of the Group. To use technology to improve the speed and accuracy of stress and scenario testing (SST) To build and enhance processes across the capital management teams to enable more efficient productions of management information, with suitable controls, to support decision-making. To support oversight of stress and scenario testing across the Group to enable effective monitoring of risk exposure and to support strategic decision making. To support identification and execution of management actions and capital solutions to improve the Groups financial position and/or to reduce volatility - About Just - We help people achieve a better later life.
      Date Posted: 17/03/2026 - Location: London - Job Type: Full time - Location: London (Hybrid 50%) Contract: Permanent - Hours: 35 hours - Purpose - To support the Head of Financial Resilience to assess, demonstrate and improve the financial resilience of the Group. To use technology to improve the speed and accuracy of stress and scenario testing (SST) To build and enhance processes across the capital management teams to enable more efficient productions of management information, with suitable controls, to support decision-making. To support oversight of stress and scenario testing across the Group to enable effective monitoring of risk exposure and to support strategic decision making. To support identification and execution of management actions and capital solutions to improve the Groups financial position and/or to reduce volatility - About Just - We help people achieve a better later life.
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      Ability to support lead teams across multiple areas of expertise including Cat and Actuarial. * Minimum 5 years of experience in analytics, actuarial or cat modelling or related fields within the insurance sector. * Exceptional communication and interpersonal skills, with the ability to influence senior stakeholders. Were hiring - Are you looking for a new challenge in a fast-paced, dynamic team environment? Do you like problem solving and coming up with innovative solutions? Join Aons Nordic and Baltic reinsurance team and help us revolutionise our industry! This role will be based in our office in London, but travel to our other offices and clients will be required at times. Aon is in the business of better decisions - At Aon, we shape decisions for the better to protect and enrich the lives of people around the world.
      Ability to support lead teams across multiple areas of expertise including Cat and Actuarial. * Minimum 5 years of experience in analytics, actuarial or cat modelling or related fields within the insurance sector. * Exceptional communication and interpersonal skills, with the ability to influence senior stakeholders. Were hiring - Are you looking for a new challenge in a fast-paced, dynamic team environment? Do you like problem solving and coming up with innovative solutions? Join Aons Nordic and Baltic reinsurance team and help us revolutionise our industry! This role will be based in our office in London, but travel to our other offices and clients will be required at times. Aon is in the business of better decisions - At Aon, we shape decisions for the better to protect and enrich the lives of people around the world.
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      Our client is looking for an experienced External Reporting Manager to join their finance team on a 12-month fixed-term contract during a period of transition and increased reporting demands. This is a key role responsible for delivering accurate and timely financial, statutory and regulatory reporting for a Luxembourg insurance entity. * Leading CAA and Solvency II reporting submissions * Acting as the main contact for external auditors * Enhancing reporting processes, controls and automation * Partnering with Finance, Risk, Actuarial, Tax and FP&A teams to ensure consistency and accuracy across reporting * Strong financial reporting experience within insurance or financial services * Solid understanding of Lux GAAP and Luxembourg regulatory reporting (CAA) * Experience with Solvency II reporting (advantageous) This is an excellent opportunity for a technically strong reporting ...
      Our client is looking for an experienced External Reporting Manager to join their finance team on a 12-month fixed-term contract during a period of transition and increased reporting demands. This is a key role responsible for delivering accurate and timely financial, statutory and regulatory reporting for a Luxembourg insurance entity. * Leading CAA and Solvency II reporting submissions * Acting as the main contact for external auditors * Enhancing reporting processes, controls and automation * Partnering with Finance, Risk, Actuarial, Tax and FP&A teams to ensure consistency and accuracy across reporting * Strong financial reporting experience within insurance or financial services * Solid understanding of Lux GAAP and Luxembourg regulatory reporting (CAA) * Experience with Solvency II reporting (advantageous) This is an excellent opportunity for a technically strong reporting ...
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      As a Sustainable Investing Analyst at State Street Investment Management, you will play a key role in fulfilling sustainable investing-related reporting and disclosure requirements, including work related to regulatory expectations and external commitments. The team you will be joining is a part of State Street Investment Management, one of the largest asset managers in the world. About State Street Investment Management As the asset management arm of State Street Corporation, State Street Investment Management has served the worlds governments, institutions and financial advisors for over four decades. At State Street Investment Management our mission is to invest responsibly to enable economic prosperity and social progress. Company: State Street Investment Management We partner with many of the worlds largest, most sophisticated investors and financial intermediaries to help them ...
      As a Sustainable Investing Analyst at State Street Investment Management, you will play a key role in fulfilling sustainable investing-related reporting and disclosure requirements, including work related to regulatory expectations and external commitments. The team you will be joining is a part of State Street Investment Management, one of the largest asset managers in the world. About State Street Investment Management As the asset management arm of State Street Corporation, State Street Investment Management has served the worlds governments, institutions and financial advisors for over four decades. At State Street Investment Management our mission is to invest responsibly to enable economic prosperity and social progress. Company: State Street Investment Management We partner with many of the worlds largest, most sophisticated investors and financial intermediaries to help them ...
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      Regulatory Reporting Manager

      High Finance (UK) Limited
      City of London (EC1)
      £80000 - £90000 per annum + Benefits
      External Reporting Manager A leading global specialty insurer is seeking an External Reporting Manager to join its finance team. * Contribute to regulatory compliance, technical accounting research, and implementation of new reporting requirements. This is a key role responsible for delivering accurate, compliant UK legal entity reporting while supporting continuous improvement and strategic finance initiatives. * Lead preparation of annual UK statutory accounts (solo and consolidated), including analysis and reporting. * Support quarterly reporting to senior leadership, Audit Committee, and Boards. * Coordinate annual statutory audits and maintain reporting timetables. * Monitor UK entity results, ensuring accurate US GAAP and UK GAAP reporting. * Support overseas statutory reporting and branch financials. * Partner with internal teams (FP&A, Tax, Controllership) on financial reporting matters.
      External Reporting Manager A leading global specialty insurer is seeking an External Reporting Manager to join its finance team. * Contribute to regulatory compliance, technical accounting research, and implementation of new reporting requirements. This is a key role responsible for delivering accurate, compliant UK legal entity reporting while supporting continuous improvement and strategic finance initiatives. * Lead preparation of annual UK statutory accounts (solo and consolidated), including analysis and reporting. * Support quarterly reporting to senior leadership, Audit Committee, and Boards. * Coordinate annual statutory audits and maintain reporting timetables. * Monitor UK entity results, ensuring accurate US GAAP and UK GAAP reporting. * Support overseas statutory reporting and branch financials. * Partner with internal teams (FP&A, Tax, Controllership) on financial reporting matters.
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      An opportunity has arisen for an Investor Services Analyst to join Pantheons Investor Services team, supporting strategic initiatives that enhance the global client experience, improve efficiency across the Investor Relations function and ensure investor services processes are executed to a high degree of quality. The Analyst will support the development and centralisation of core IR processes, assist with data alignment and reporting, and contribute to initiatives that streamline global client service activities. * Provide ongoing administrative global client support to ensure investor services processes are executed to a high degree of quality - Pantheon has been at the forefront of private markets investing for more than 40 years, earning a reputation for an innovative approach to investing in secondaries, co-investments, and primary fund investments, as well as capital ...
      An opportunity has arisen for an Investor Services Analyst to join Pantheons Investor Services team, supporting strategic initiatives that enhance the global client experience, improve efficiency across the Investor Relations function and ensure investor services processes are executed to a high degree of quality. The Analyst will support the development and centralisation of core IR processes, assist with data alignment and reporting, and contribute to initiatives that streamline global client service activities. * Provide ongoing administrative global client support to ensure investor services processes are executed to a high degree of quality - Pantheon has been at the forefront of private markets investing for more than 40 years, earning a reputation for an innovative approach to investing in secondaries, co-investments, and primary fund investments, as well as capital ...
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      Actuarial Manager - Capital & Reporting

      Hireful
      Paddington, West London (W2), W2
      £75k - £85k base + bonus & benefits
      Role: Senior Actuarial Analyst, Solvency II Actuary, Actuarial Manager, Senior Capital Actuary, Actuarial Reporting Manager etc. we are looking for an Actuarial Manager – Capital & Reporting to play a pivotal role within our high-performing actuarial team. Are you a Senior or Lead Capital Actuarial Analyst keen to step into a role where your expertise directly shapes the financial strength and future growth of a leading, fast-growing insurance company? Working closely with senior leadership and partnering with Finance, Risk and wider business functions, you will lead the delivery of key actuarial outputs across Solvency II Pillars I, II and III. From producing best estimate liabilities and capital requirements to supporting the ORSA process, you will ensure the business operates with robust, accurate and insightful reporting at its core. This is more than a reporting role.
      Role: Senior Actuarial Analyst, Solvency II Actuary, Actuarial Manager, Senior Capital Actuary, Actuarial Reporting Manager etc. we are looking for an Actuarial Manager – Capital & Reporting to play a pivotal role within our high-performing actuarial team. Are you a Senior or Lead Capital Actuarial Analyst keen to step into a role where your expertise directly shapes the financial strength and future growth of a leading, fast-growing insurance company? Working closely with senior leadership and partnering with Finance, Risk and wider business functions, you will lead the delivery of key actuarial outputs across Solvency II Pillars I, II and III. From producing best estimate liabilities and capital requirements to supporting the ORSA process, you will ensure the business operates with robust, accurate and insightful reporting at its core. This is more than a reporting role.
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      FEATURED

      Transfer Pricing Senior Manager - FS

      Morgan McKinley Group Ltd
      City of London (EC1)
      £80000.00 - £115000 per annum
      A leading Big 4 accountancy practice are seeking an Senior Manager to join their expanding Transfer Pricing Team in London. The transfer pricing team is a highly dynamic and successful area within their tax business. A constantly changing and increasingly significant field, the transfer pricing team helps clients establish, document and defend market based pricing terms in relation to transactions between parts of multinational businesses. They are a national team of over 140 transfer pricing specialists including 8 Partners mostly based in London and key UK cities. * Providing technical transfer pricing advice to our financial services clients on a broad range of topics * Successfully targeting businesses and winning transfer pricing work. * At least 7 years of transfer pricing experience, preferably including experience of preparing ...
      A leading Big 4 accountancy practice are seeking an Senior Manager to join their expanding Transfer Pricing Team in London. The transfer pricing team is a highly dynamic and successful area within their tax business. A constantly changing and increasingly significant field, the transfer pricing team helps clients establish, document and defend market based pricing terms in relation to transactions between parts of multinational businesses. They are a national team of over 140 transfer pricing specialists including 8 Partners mostly based in London and key UK cities. * Providing technical transfer pricing advice to our financial services clients on a broad range of topics * Successfully targeting businesses and winning transfer pricing work. * At least 7 years of transfer pricing experience, preferably including experience of preparing ...
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      We have a great opportunity to join our Acquisition Finance Portfolio Management (AF PM) team as Vice President (VP), a function within ING Lending franchise in UK. * The AF PM team is the center of excellence for the in-life management of INGs Acquisition Finance lending exposures. o Staying up to date with external stakeholders / networking with a.o. Advisors (restructuring), lawyers to ensure an active awareness and understanding of prevailing trends, challenges and developments for leverage finance; * Prior exposure to specialized lending (project finance, object finance, acquisition finance) and/or real asset sub-sectors (energy, infrastructure, transportation & logistics, telecommunication and technology) a plus. This is a mid-level lending professional role within the front office. As a key member of the AF PM team, your responsibility will be to actively manage AF booked assets in the lending ...
      We have a great opportunity to join our Acquisition Finance Portfolio Management (AF PM) team as Vice President (VP), a function within ING Lending franchise in UK. * The AF PM team is the center of excellence for the in-life management of INGs Acquisition Finance lending exposures. o Staying up to date with external stakeholders / networking with a.o. Advisors (restructuring), lawyers to ensure an active awareness and understanding of prevailing trends, challenges and developments for leverage finance; * Prior exposure to specialized lending (project finance, object finance, acquisition finance) and/or real asset sub-sectors (energy, infrastructure, transportation & logistics, telecommunication and technology) a plus. This is a mid-level lending professional role within the front office. As a key member of the AF PM team, your responsibility will be to actively manage AF booked assets in the lending ...
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      Join us as a Trading Market Risk Advisor with roles to support Freight Trading desks. * Market Risk Advisory & Strategic Stakeholder Engagement: Proactively deliver high-impact market risk insights through daily analysis and reporting of trading positions, exposures, TCM, and risk limit utilization. Stay ahead of industry developments to provide forward-looking insights and enhance the strategic value of risk advisory services. You will provide risk analysis for global and regional activities sitting alongside commercial traders and advising daily on Trading PnL, exposures, VAR, mark-to-market accounting, limit monitoring. Apply advanced market and commodity analysis to generate insight and detect anomalies to provide input to trading strategies and risk mitigation. * End-to-End Market Risk Process Mastery & Skill Evolution: Demonstrate deep understanding ...
      Join us as a Trading Market Risk Advisor with roles to support Freight Trading desks. * Market Risk Advisory & Strategic Stakeholder Engagement: Proactively deliver high-impact market risk insights through daily analysis and reporting of trading positions, exposures, TCM, and risk limit utilization. Stay ahead of industry developments to provide forward-looking insights and enhance the strategic value of risk advisory services. You will provide risk analysis for global and regional activities sitting alongside commercial traders and advising daily on Trading PnL, exposures, VAR, mark-to-market accounting, limit monitoring. Apply advanced market and commodity analysis to generate insight and detect anomalies to provide input to trading strategies and risk mitigation. * End-to-End Market Risk Process Mastery & Skill Evolution: Demonstrate deep understanding ...
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      The role will reside within the Firm Risk Management's Credit Risk Management area which is a team dedicated to evaluating credit risk transactions considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and Firm Risk Management. CRM also interacts with business units to ensure that credit risk assessments are factored into business decisions. The primary responsibility of this role is to evaluate credit risk on reverse repo and total return swap (TRS) transactions. Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with ...
      The role will reside within the Firm Risk Management's Credit Risk Management area which is a team dedicated to evaluating credit risk transactions considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and Firm Risk Management. CRM also interacts with business units to ensure that credit risk assessments are factored into business decisions. The primary responsibility of this role is to evaluate credit risk on reverse repo and total return swap (TRS) transactions. Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with ...
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      INGs Global Loan Distribution Group platform consists of c. 100 professionals located in London, Amsterdam, Brussels, Frankfurt, Milan, Madrid, New York, Singapore, Sydney and Hong Kong. The leveraged loan syndicate team is responsible for the origination, structuring, syndication and execution of syndicated loans for high yield and leveraged borrowers in EMEA. * As part of a larger client/transaction team, the Associate will play a key role in producing marketing materials, building models and general analysis, under the direction of a more senior banker. * Maintain and strengthen contacts within relevant CMA stakeholder teams, at all levels, including Risk Management, FM, Compliance teams as well as developing proximity to all other CMA teams, including advanced knowledge of corporate finance, leveraged finance, capital markets and underwriting / loan distribution and sales.
      INGs Global Loan Distribution Group platform consists of c. 100 professionals located in London, Amsterdam, Brussels, Frankfurt, Milan, Madrid, New York, Singapore, Sydney and Hong Kong. The leveraged loan syndicate team is responsible for the origination, structuring, syndication and execution of syndicated loans for high yield and leveraged borrowers in EMEA. * As part of a larger client/transaction team, the Associate will play a key role in producing marketing materials, building models and general analysis, under the direction of a more senior banker. * Maintain and strengthen contacts within relevant CMA stakeholder teams, at all levels, including Risk Management, FM, Compliance teams as well as developing proximity to all other CMA teams, including advanced knowledge of corporate finance, leveraged finance, capital markets and underwriting / loan distribution and sales.
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      Title: Fund CFO/Fund Operations Specialist Infrastructure The Fund CFO team within Infrastructure Investments focuses on several key areas to support core operational efficiency across the platform, which includes fund performance, investor reporting and responding to investor queries on fund performance, supporting on transaction structuring for acquisitions, add-ons and disposals, fund operations, fund cash flow management and fund facility, and supporting on new product development initiatives. * ACA (or equivalent accounting qualification) with proven PQE supporting Infrastructure and/or Private Equity funds, demonstrating a solid understanding of fund LPA, tax, legal and regulatory environments. * Proven experience across topics such as investor reporting and fund performance, while supporting the structuring of new transactions and new product development ...
      Title: Fund CFO/Fund Operations Specialist Infrastructure The Fund CFO team within Infrastructure Investments focuses on several key areas to support core operational efficiency across the platform, which includes fund performance, investor reporting and responding to investor queries on fund performance, supporting on transaction structuring for acquisitions, add-ons and disposals, fund operations, fund cash flow management and fund facility, and supporting on new product development initiatives. * ACA (or equivalent accounting qualification) with proven PQE supporting Infrastructure and/or Private Equity funds, demonstrating a solid understanding of fund LPA, tax, legal and regulatory environments. * Proven experience across topics such as investor reporting and fund performance, while supporting the structuring of new transactions and new product development ...
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