Emea Private Markets - Frankfurt am Main, Deutschland - Kohlberg Kravis Roberts & Co.

Kohlberg Kravis Roberts & Co.
Kohlberg Kravis Roberts & Co.
Geprüftes Unternehmen
Frankfurt am Main, Deutschland

vor 3 Wochen

Lena Wagner

Geschrieben von:

Lena Wagner

beBee Recruiter


Beschreibung

EMEA

COMPANY OVERVIEW
KKR & Co.

Inc., together with its subsidiaries, is a leading global investment firm that offers alternative asset management and capital markets and insurance solutions.

KKR aims to generate attractive investment returns by following a patient and disciplined investment approach, employing world-class people, and supporting growth in its portfolio companies and communities.

KKR sponsors investment funds that invest in private equity, credit and real assets and has strategic partners that manage hedge funds.

KKR's insurance subsidiaries offer retirement, life and reinsurance products under the management of The Global Atlantic Financial Group.


Location:
London or Dublin


Reporting:
Head of
EMEA Treasury


Position Summary:


The
EMEA Private Markets & Credit Treasury Professional will be joining a rapidly evolving
EMEA Treasury team and responsible for establishing and reviewing the day to day operations of the function.

The scope of responsibilities includes tactical and strategic initiatives such as Deal Funding and Closing, Wire Payments, FX settlements, Collateral Management, and more.

As a member of the newly created
EMEA Treasury team, the
EMEA Private Markets Professional will play a critical role in partnering across regions and with external stakeholders to deliver best in class service.


Responsibilities:


Deal Funding and Closing

  • Integration with the deal teams on deal pipeline and upcoming Treasury needs
  • Review ands execution of Funds Flows documents
  • Partnership with the deal teams, external advisors, deal counsel and the global treasury network to meet global deadlines
  • Work with the
    EMEA Head of Treasury and Global Private Treasury team to review & enhance the deal funding process
  • Coordinate opening and onboarding of new accounts
  • Working with and managing outsourced service providers
  • Work very closely with the Treasury Platform Operations team to ensure integration
  • Proactively develop, produce and analyse reports on various treasury data points
  • Lead the development of internal and external marketing material in relation to Treasury responsibilities and valueadd
  • Ensure liquidity solutions such as sweep vehicles/MMFs in place for all accounts, where available

Wire Payments

  • Initiate wire payments, including:
  • Drawdowns on revolving credit facilities
  • Direct deal funding
  • FX settlements
  • Collateral movements
  • Internal cash movements
  • Quarterly fund distributions
  • Vendor invoice payments

FX Settlements

  • Oversee settlement of foreign currency spot trades and hedge rolls through FXAll
  • Maintain account set ups and mappings between FXAll and internal FX trade systems

Collateral Management

  • Daily monitoring of collateral and margin calls. Ensure all collateral movements have been satisfied and all issues are resolved
  • Partner with Hedging and Liability Management team to set thresholds for risk monitoring and shock analysis to ensure proper cash buffers

Risk Mitigation

  • Risk mindset
  • Identify operational risks and offer solutions to mitigate through process developments


  • Control framework

  • Drive best practice across the function and ensure processes are robust, documented, reviewed periodically and followed


  • Technology

  • Embrace technology and identify opportunities where technology can be leveraged to drive efficiency, allows scalability to the platform and to mitigate risk


  • Efficiency

  • Find marginal gains which will allow the team to organically increase capacity and allow it to focus on the high value add activities

Qualifications, Experience & Skills

  • Undergraduate and/or Postgraduate level education with a strong academic record
  • Over 6 years of relevant experience ideally in Alternative Asset Management, Treasury Services or Operations, Consulting or similar
  • Knowledge of Private Markets, Corporate Bonds, Mortgage Backed Securities, Equities
  • Change management experience is a strong plus
  • Strong organizational, communication, analytical, and problemsolving skills
  • High level of attention to detail, especially as it relates to the prevention of wire fraud
  • Flexibility and the ability to adapt to change in a dynamic environment
  • Treasury services and/or securities settlements operations
  • Private credit or equity deal funding
  • Complex alternative asset fund structures
  • Experience with Treasury Management Systems, BMS Everest and/or Advent Geneva
  • Working with and managing outsourced service providers
  • Complex alternative asset fund structures

Crictical Competencies for Success:


  • Selfstarter with an ownership mindset and proven track record of producing accurate, actionable and timely information
  • Detail orientated with exacting standards
  • Driven to succeed and willingness to take ownership
  • Have interest in improving process efficiency through standardization and technology
  • Engaging personality who builds relationships easily
  • Ability to work autonomously and a

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