Fund Relationship Analyst

Remote Full-time
About the position

The Relationship team within the Funds Group contributes to Wellington Management’s mission by delivering first-class client service to clients who invest in Wellington’s sponsored funds. These clients represent financial advisors, US wirehouses, endowment, foundation, family office, corporate, and public funds relationships invested in commingled pools including Wellington Managed Funds – US, Wellington Trust Company NA, Wellington Management Funds - Global, Wellington US Registered Funds and Wellington Alternative Investments. This role will focus on clients invested within Wellington’s US registered interval and tender offer funds and the successful candidate will be the key point of contact for financial advisor clients. The Fund Relationship Analyst will work as part of a team responsible for but not limited to: coordination of client account openings and closings, client reporting requirements with the fund reporting team, responsible for protecting the validity and accuracy of the client data, RFIs, cash flows, capital calls, distributions and other direct client interactions on servicing items. To accomplish these responsibilities, the Funds Relationship Analyst is expected to partner closely with other parts of the business such as Internal Wholesalers, Relationship Managers, Fund Services, Fund Reporting and the wider Funds Group team to ensure the client’s requirements are met. Specific responsibilities include but not limited to: Coordinate administrative aspects of onboarding/offboarding of fund investors Coordinate new deliverables via the delivery management platform and/or with Fund Reporting team including documentation of procedures Complete recurring tasks such as operational due diligence questionnaires and requests for information Oversee coordination of fund-related queries from clients, adhering to strict SLAs Communicate fund-related information to investors Provide support to fund investors for client portal access, password resets etc. Support fund documentation changes Contribute to fund investor specific projects, including system enhancements and process improvements

Responsibilities
• Coordinate administrative aspects of onboarding/offboarding of fund investors
• Coordinate new deliverables via the delivery management platform and/or with Fund Reporting team including documentation of procedures
• Complete recurring tasks such as operational due diligence questionnaires and requests for information
• Oversee coordination of fund-related queries from clients, adhering to strict SLAs
• Communicate fund-related information to investors
• Provide support to fund investors for client portal access, password resets etc.
• Support fund documentation changes
• Contribute to fund investor specific projects, including system enhancements and process improvements

Requirements
• Minimum of 3-5 years experience in the investment management industry, in areas of client service or operations, with experience with US Registered/40 Act interval and tender offer funds
• Strong relationship building and collaboration skills and the curiosity to learn
• Ability to cope under pressure within a high volume environment
• Sound business judgement and the ability to synthesize complex issues and effectively balance competing objectives and risks, and the ability to think creatively to solve business problems for clients
• Strong communication and presentation skills
• Project management skills, influencing, team-orientation, consensus building, and strong quantitative, written and verbal communication skills
• A college degree is required

Nice-to-haves
• IT skills such as python coding or SQL are an advantage

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