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JPMorganChase

Asset Management, Highbridge, Treasury and Middle Office Associate

JPMorganChase, New York, New York, us, 10261

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Asset Management, Highbridge, Treasury and Middle Office Associate Highbridge Capital Management, LLC, founded in 1992, is a global alternative asset management firm. Over the years, it has developed a diversified investment platform that includes hedge funds, co‑investment vehicles, and closed‑end vehicles designed for longer‑term holding periods. Today, Highbridge distinguishes itself as a credit, relative‑value and volatility‑focused franchise, with the flexibility to invest opportunistically across the capital structure and liquidity spectrum. Currently managing over $4 billion in capital, the firm strives to generate attractive risk‑adjusted returns for a financially sophisticated clientele, including institutional investors, public and corporate pension funds, sovereign wealth funds, endowments, foundations and family offices. Headquartered in New York, Highbridge also operates an office in London.

Highbridge Capital Management ("HCM") is seeking an Associate for our Treasury & Middle Office team. The group is responsible for managing all of Highbridge’s trade management and financing needs. As a key member of the team, the role involves working closely with our investment team and partnering with other areas within Highbridge, including Risk Management and Technology.

Job Responsibilities

Supporting the daily operations of a multi‑strategy fund with a focus on credit trading

Develop a deep knowledge and understanding of the Firm’s investment process and technology platform

Liaise with counterparties to arrange trade settlements and confirmations

Establish and monitor financing solutions for credit and fixed income products, including repo lines

Experience with settlement processes and systems such as FED, DTC, Bloomberg SEF, Market Axess, and ICE Clear

Work hand‑in‑hand with traders, portfolio managers and research analysts to manage the execution of complex corporate actions (refinancings, exchanges, acquisitions, etc) among our portfolio companies, arranging third‑party documentation required, communicating with our counterparties to ensure timely settlement and engaging Controllers internally on P&L recognition of such events

Creation and maintenance of security set‑ups spanning all asset classes and engaging trading desk and risk management teams providing oversight to ensure data propagates downstream to all applications for reporting and investment screening

Review and monitor daily cash and position reconciliations; liaise between the investment and operations teams on corporate actions to ensure effective execution and compliance

Cash and Collateral Management, including FX exposure monitoring

Required Qualifications, Capabilities And Skills

Experience: 3–5 years of total work experience, ideally with a multi‑strategy or credit hedge fund

Comprehensive understanding of trading, capital markets and credit derivatives, with the ability to comprehend complex investment products

Understanding of credit financing solutions for hedge funds

Excellent organizational abilities to effectively manage multiple tasks

Commitment to precision and disciplined processes

Strong verbal and written communication abilities to engage stakeholders internally and externally

Ability to thrive in a dynamic, global team environment and collaborate effectively

Energetic, intellectually curious mindset with a strong dedication to driving results

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