Associate Funds Management
Descrizione dell'offerta
About the Firm
Ambienta is a European environmental sustainability investor across private equity, public market and private credit. Operating out of Milan, London, Paris and Munich, Ambienta manages over €4.0bn in assets across Private Equity, Public Market and Private credit exclusively focusing on companies driven by environmental megatrends whose products or services improve Resource Efficiency and/or Pollution Control in their respective sectors.
In private equity, Ambienta has completed more than 80 Investments to date and is managing the largest PE strategy in EU exclusively dedicated to environmental sustainability. In public equity markets, Ambienta has pioneered one of the world's largest absolute return funds entirely focused on environmental sustainability and manages a full suite of sustainable products ranging from low-risk multi-asset funds to equity long-only. Ambienta has also recently established a private credit strategy with the same environmental sustainability focus as the other asset classes.
An industry pioneer, Ambienta was one of the first UN PRI signatories in 2012 and attained B-Corp in 2019. In 2020, Ambienta became IIGCC member and in 2023, as one of very few asset managers, continued being a positive role model for the industry by committing to the Science-Based Targets initiative (SBTi).
Your role and responsibilities
As part of the Funds Management team, your job will include:
- Management of fund accounting, NAV calculation and reporting
- Reporting and communications to investors (i.e. capital account statements, capital calls and distributions)
- Management of the administrative processes of the funds managed, in collaboration with the service providers in charge
- Management of the administrative processes of the special purpose vehicles, in coordination with the professionals in charge
- Monitoring and periodical update of the records about the investment structures, in collaboration with the investment team
- Management of treasury activities related to funds
- Coordination of operational processes with outsourcers and banks
- Preparation of reports to the supervisory authorities and tax filings related to the funds
- Coordination of KYC activities, in collaboration with the professionals in charge
Your Skills
- Economics Degree
- Previous experience of at least 4 years in SGR or auditing firm (Financial services)
- Accuracy, organization and problem solving
- Good knowledge of English (spoken and written) and the Office package
- Flexibility and ability to manage stress