Supporting the UK based Private Credit Sales team.
Responsible for KYC and Vetting requirements of LCG Bank Sales investors
Reconciliation of SC / CC performance for the UK LCG team in liaison with Finance and Business Management for primary and secondary
Assisting in keeping up to date the relevant information on internal databases (primary and secondary file/DD/Nat1 etc)
Assist in preparing NDA for secondary opportunities
Tracking and sharing relevant market / investor news with the team
Attending updated syndicate calls and updating the several follow up files
Preparing presentations for internal stakeholders and external clients
Assist the LCG Sales platform with general day to day activities