Investment Operations Vice President

1 day ago


Short Hills, New Jersey, United States Blue Owl LLC Full time
Job Title: Investment Operations Vice President

Blue Owl LLC is a leading asset manager that is redefining alternatives. With over $192 billion in assets under management as of June 30, 2024, we invest across three multi-strategy platforms: Credit, GP Strategic Capital, and Real Estate. Anchored by a strong permanent capital base, we provide businesses with private capital solutions to drive long-term growth and offer institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities that aim to deliver strong performance, risk-adjusted returns, and capital preservation.

The Role:

The Investment Operations team oversees investor and distribution syndicate onboarding (Institutional / Retail investors along with Wirehouse Relationships); operational components of product launches; capital raise reporting; capital activity and communications, e.g. capital calls, dividend payments, tenders; shadow tracking and calculations of all investor and capital activities; investor performance reporting; tracking of all broker dealer economics/commissions; ad-hoc questions from internal sales team and investors; and oversight of related service providers.

Responsibilities:
  • Assist in managing to completion inbound inquiries from investors, financial advisors, and other key partners, including the Blue Owl Sales Team.
  • Aid in development of technology platforms to improve client experience and enhance operational performance.
  • Analyze and gather key fund -offerings and strategies from legal and financial documents, including Prospectuses, PPMs and LPAs.
  • Coordinate and streamline communications for offshore feeder vehicles, ensuring collaboration between internal Blue Owl teams and external stakeholders.
  • Identify patterns in client inquiries to develop proactive solutions that address common concerns and improve operational efficiency.
  • Develop and maintain comprehensive expertise in mechanics, complexities and regulatory sanctions of each fund, ensuring smooth operational workflows.
  • Manage the onboarding process for new investors to private funds, which includes but is not limited to analyzing subscription documents, liaising with internal and external legal teams and identifying any AML/KYC issues.
  • Primary liaison across the middle back office and sales team on certain initiatives.
  • Facilitate clear and timely communication of capital events to key distribution partners and financial advisors.
  • Accurately reconcile investor information between internal records and those of the transfer agent to maintain data integrity and facilitate smooth transaction processing.
  • Lead projects to enhance the functionality & efficiency of the team, including developing & optimizing key internal reports for scalability.
  • Build and maintain effective, mutually beneficial working relationships with custodians, transfer agents, key Wirehouse / broker dealer home offices, and third-party vendors.
  • Collaborate effectively within a dynamic team environment that supports multiple internal departments and external stakeholders, adapting to various roles and responsibilities as needed.
  • Supervise and mentor shared resource Associates & Analysts to deliver tasks & projects efficiently.
Qualifications:
  • 5-10 years of experience in the financial services industry, with a strong understanding of industry standards and practices.
  • Bachelor's degree required.
  • Accountable and reliable.
  • Self-motivated and proactive individual with the ability to work independently and take initiative on projects with minimal supervision.
  • Proficient in Microsoft Office (Focus on MS Excel & PowerPoint).
  • Effective communicator, both verbal and written.
  • Strong Organizational skills a must, with the ability to meet deadlines in a fast-paced environment.
  • Ability to manage multiple tasks and responsibilities while maintaining a high level of accuracy and attention to detail, ensuring all deliverables meet quality standards and deadlines.
  • Experience with Luxembourg-based vehicles and affiliated AML/KYC requirements preferred.
  • Familiarity with Anduin, iCapital & CAIS platforms a plus.
  • BDC, Real Estate, Exchange Fund & Interval Fund experience a plus.
  • Understanding of asset management middle/back-office functions, including but not limited to trade settlement, reconciliation, and reporting.
  • Experience working with Transfers Agents, Clearing Firms & Fund Administrators in the Alternatives space (DST Systems, DTCC, NSCC, SEI, State Street, Computershare, etc.)


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