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Our client is looking for a Director to join their busy and growing Private Equity team. You will lead on the delivery and development of the Private Equity fund services customer proposition in a manner that is aligned to the clients brand values and...
Working as an Administrator, you will be responsible for administering a portfolio of clients consisting of funds and other entities.
The successful candidate will deliver a high level of administrative support to the team and to administer, under supervision, a small number of simple, straight forward and non-contentious cases in line with the defined business activities.
We have a superb opportunity for an Administrator within our client’s Private Equity team, where you will administer, under supervision, a small number of simple, straightforward, and non-contentious cases.
Deliver a first class administrative service to a small portfolio of clients. 2 years industry experience, preferably administering corporate clients and working towards a relevant qualification. Ability to work with conflicting and demanding deadlines...
We have an exciting opportunity for an Administrator ( Private Equity ) to join a …
Global US Law Firm Private Equity Mid-Level Associate 3-5PQE London This highly regarded global law firm has more than 45 offices across the United States, Asia, Australia, and Europe. The London office is known for providing integrated legal team to...
The successful candidate will deliver a comprehensive first class administrative service to a varied portfolio of clients in line with the defined business activities. The candidate will maintain and enhance client relationships on own portfolio. In...
The purpose of this position is to lead on the delivery and proactive development of the Private Equity fund services customer proposition in a manner that is aligned to the Group's brand values and strategic business goals. The candidate will be a key...
An interesting and varied role for a Fund Accountant, where you will be responsible for carrying out routine day-to-day accounting of fund structures under the guidance of a Financial Reporting Manager.