We're hiring a Funds Analyst to join our Funds team. The funds business sits at the intersection of investment, distribution, and operations, onboarding private and public fund managers, evaluating their strategies, and supporting how those funds reach investors on our platform. As an Analyst, you will work alongside senior team members on every part of that lifecycle: from screening managers and reviewing documentation to producing the marketing collateral that distribution and CAM teams rely on. This is a learning-heavy seat designed to build durable fund-industry expertise from day one.
What you'll do
Execution
- Support senior team members in liaison with GPs across performance queries, onboarding, documentation, redemptions, and subscription cycles.
- Help maintain the accuracy and completeness of onboarding documentation (PPM, subscription docs, KYC requirements).
- Track open items across funds and flag anything at risk of slipping a timeline.
Due diligence
- Conduct basic fund analysis — distinguishing between asset classes, strategies, and fund vehicles (PE, VC, hedge, private credit, public funds, etc.).
- Form an early view on which funds make sense for the platform, with apples-to-apples comparison across managers and strategies.
- Prepare diligence inputs (track record snapshots, peer comps, structure summaries) that senior team members build into the investment view.
Distribution & sell-through
- Support production of sales materials — factsheets, EDMs, STO pages, brochures — making sure performance, fee, and structure data are correct and current.
- Answer basic queries from marketing and CAMs on redemption, subscription, NAV, and fund performance.
- Develop a working understanding of investor preferences and how funds are positioned to different investor segments.
Process improvement
- Identify inefficiencies and raise key issues or deal-breakers early — before they become escalations.
- Focus on reducing mistakes and unforced errors in document handling, data entry, and stakeholder communication.
What we're looking for
Must-have
- 0–2 years of experience in funds, asset management, private banking, wealth management, fund administration, audit (financial services), or a comparable role. Strong fresh graduates from finance, accounting, economics, or related disciplines will be considered.
- Working understanding of fund vehicles and asset classes, or a clear interest and demonstrated self-study in this space.
- High attention to detail. Onboarding documentation does not tolerate errors.
- Clear, concise written communication — capable of drafting fact-checked client-ready content with supervision.
- Comfortable working across multiple stakeholders (GPs, legal, compliance, sales, CAMs) and managing competing requests.
- Proficient in Excel and PowerPoint; comfortable picking up new internal tools quickly.
Nice-to-have
- Exposure to private markets fund onboarding (PPM review, subscription document workflows, KYC).
- CFA Level I (or progress towards), CAIA, or equivalent self-study.
- Experience producing or reviewing marketing collateral (factsheets, EDMs, fund one-pagers).
- Familiarity with fund-administration, CRM, or distribution platforms.
How to apply
Send your CV and a short note (no cover letter required) explaining one fund — public or private — that you find interesting and why. We read every note.