Overview
Marathon Asset Management is a market and cycle-tested global alternative credit manager founded in 1998 by Bruce Richards (Chief Executive Officer) and Louis Hanover (Chief Investment Officer). The firm manages approximately $22 billion in assets under management across the corporate, real estate, structured credit and asset-based credit markets. Marathon’s team is fully integrated to capitalize on credit opportunities globally in both the public and private credit markets, with its headquarters in New York and offices in London, Tokyo, Luxembourg, Miami and Los Angeles.
We are seeking to hire a highly qualified individual located in New York, Los Angeles or Miami to work very closely with the Head of Intermediary Solutions in Investor Relations. This role will also have high visibility and connectivity with the global head of business development, senior management, portfolio managers and investment professionals across the firm. Client coverage area is primarily the US and possibly Canada, Europe & Asia to the extent clients have a global and integrated team.
Responsibilities
- Assist Fund Controllers with financial reporting required for their assigned investment funds and managed accounts
- Reconcile daily trading activity with prime brokers, custodians and administrators
- Confirm allocations of trades to counterparties
- Resolve trade breaks between counterparties and prime brokers
- Run daily P&L
- Assist in month-end NAV process
- Assist with yearend external audit procedures
- Assist the internal valuation team
- Special projects
Qualifications
Required Education: Bachelor’s degree
Required Experience:
- 2-5 years of financial services industry experience
Required knowledge in Fixed Income products (corporate bonds, mortgage bonds, government bonds).
Strong quantitative skills
Good oral and written communication
Highly motivated, disciplined, responsible personality with attention to detail, high energy level and strong work ethic