Product Manager/Product Management Associate/Junior Product, Alternatives Asset Manager, London

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Responsibilities

  • Execute NAV oversight and reconciliations (positions, pricing, cash, fees, hedging efficiency)
  • Verify and sign off NAV/AUM produced by the fund administrator
  • Challenge administrator valuations and resolve daily queries on valuations, trading, structuring and payments
  • Assist onboarding of new funds and third-party managers onto the platform
  • Partner with investment managers on revenue, expense rebates and distribution fees
  • Investigate and resolve hard-to-price and stale pricing exceptions
  • Monitor custody exceptions (unadvised cash, non-receipt, overdrafts, unmatched/failing trades)
  • Oversee daily cash flows from the transfer agent (monitor payments, trade flow, and broker settlements)
  • Reconcile regulatory reporting, prepare fund data for filings, and coordinate with vendors to meet investor tax and disclosure reporting deadlines

Requirements

  • Strong Excel skills and comfort with data analysis, Bloomberg proficiency, SQL familiarity
  • Experience in asset management, hedge funds, or private markets, with knowledge of the fund lifecycle and asset classes
  • Understanding of performance fee mechanics and regulatory reporting
  • Proactive, hands-on approach with strong problem-solving skills; able to build effective relationships with internal and external stakeholders

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Company: Jobs via eFinancialCareers
Apply for the Product Manager/Product Management Associate/Junior Product, Alternatives Asset Manager, London
Location: London
Job Description:

Responsibilities

  • Execute NAV oversight and reconciliations (positions, pricing, cash, fees, hedging efficiency)
  • Verify and sign off NAV/AUM produced by the fund administrator
  • Challenge administrator valuations and resolve daily queries on valuations, trading, structuring and payments
  • Assist onboarding of new funds and third-party managers onto the platform
  • Partner with investment managers on revenue, expense rebates and distribution fees
  • Investigate and resolve hard-to-price and stale pricing exceptions
  • Monitor custody exceptions (unadvised cash, non-receipt, overdrafts, unmatched/failing trades)
  • Oversee daily cash flows from the transfer agent (monitor payments, trade flow, and broker settlements)
  • Reconcile regulatory reporting, prepare fund data for filings, and coordinate with vendors to meet investor tax and disclosure reporting deadlines

Requirements

  • Strong Excel skills and comfort with data analysis, Bloomberg proficiency, SQL familiarity
  • Experience in asset management, hedge funds, or private markets, with knowledge of the fund lifecycle and asset classes
  • Understanding of performance fee mechanics and regulatory reporting
  • Proactive, hands-on approach with strong problem-solving skills; able to build effective relationships with internal and external stakeholders

#J-18808-Ljbffr…

Posted: May 5th, 2026