Senior Analyst / Associate - Fund Finance
Quick Summary
We are global private markets specialists delivering tailored investment solutions, advisory services, and impactful, data driven insights to the world’s investors.
We are global private markets specialists delivering tailored investment solutions, advisory services, and impactful, data driven insights to the world’s investors. Leveraging the power of our platform and our peerless intelligence across sectors, strategies, and geographies, we help identify the advantages and the answers our clients need to succeed.
We are seeking a Senior Analyst or Associate (depending on experience) to join our Fund Finance team in Dublin. The role focuses on the negotiation, execution, ongoing management, and operational oversight of fund-level financing facilities, including subscription credit lines, NAV facilities, and hybrid structures.
The successful candidate will take day-to-day ownership of facilities, interact directly with lenders and internal stakeholders, and contribute meaningfully to the smooth management of existing facilities. A core element of this role is identifying and resolving operational bottlenecks, driving process improvements, and helping build scalable workflows as the platform continues to grow.
Responsibilities
~1 min read- →Support the structuring, negotiation, and execution of subscription line facilities, NAV-based financing solutions, and hybrid structures
- →Take ownership of management of existing facilities
- →Maintain internal trackers for covenants, reporting obligations, and key deadlines, ensuring full compliance across all facilities
- →Identify, escalate, and help resolve operational issues arising from facility management, fund restructurings, investor transfers, or ad hoc lender requirements
- →Proactively identify inefficiencies in existing workflows, reporting processes, and facility management procedures and implement improved templates, checklists, and tracking tools to enhance accuracy, consistency, and scalability
- →Partner with fund accounting, legal, investor relations, and technology teams to streamline cross-functional processes
- →Support automation and digitization initiatives where applicable to reduce manual effort and operational risk
Requirements
~1 min read- 3-5 years of relevant experience in fund finance, lending, treasury, or fund operations at a bank, large asset manager, or financial institution.
- Strong understanding of subscription credit facilities, including borrowing base mechanics, investor eligibility criteria, and core facility documentation. Exposure to NAV or hybrid facilities is advantageous.
- Track record of identifying operational inefficiencies and implementing tangible process improvements in a fund finance context.
- Strong written and verbal communication skills, with the ability to interact confidently with lenders, legal counsel, and internal stakeholders at all levels.
- High attention to detail and ability to manage multiple workstreams simultaneously
- Advanced proficiency in Excel and strong PowerPoint skills
- Degree in Finance, Economics, Business, Law, or a related discipline;
- High-level knowledge of Private Credit is a plus
- Collaborative, proactive and ownership-driven, with strong analytical and problem-solving capabilities
What We Offer
~1 min readLocation & Eligibility
Listing Details
- Posted
- June 17, 2026
- First seen
- June 17, 2026
- Last seen
- June 18, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 60%
- Scored at
- June 17, 2026
Signal breakdown
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