A leading independent European asset manager with a strong London presence and a long track record across global equities, fixed income, and multi-asset investing. The business has a collegiate, high-accountability culture and offers genuine visibility across the investment and finance teams. This is a broad Portfolio Controller position sitting at the heart of the fund’s financial operations. You will take ownership of back-to-front trade support, fund-level reporting, NAV oversight, and regulatory reporting, working closely with portfolio managers, finance, external administrators, and other key stakeholders. Responsibilities Trade support across all traded products; credit, bonds, equities, fixed income, and derivatives. Oversight of NAV and fund-level reporting. Review of investor reports and performance packs. Liaison with external fund administrators, auditors, and depositaries. Reconciliations, cash management, and treasury support. Support on regulatory reporting and fund controls. Close collaboration with portfolio managers on P
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