Fundcraft

fund

FundOperationsAssociate

Girona, Catalonia, Spain FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Entry candidates.

The Brief

“Fund Operations Associate at Fundcraft. Skills: process management, cross-functional coordination, vendor/stakeholder management, operational metrics, resource planning, continuous improvement. Maintain and update shareholder registers on the platform. Extract and prepare shareholder registers as required”

Industry & Context.

fund
Problems you'll solve

Approach challenges with a solution-focused mindset, identifying ways to improve processes and enhance operational efficiency

What They're Looking For.

Must Have

Fluency in English

Nice to Have

Spanish or Catalan are a plus, Basic understanding of financial instruments and fund structures, Up to 2 years of experience in a financial services, fund administration, or back-office operations role is an advantage, Any internship or exposure to fund operations, AML/KYC, or data processing will be considered a plus, Interest in working with digital tools and ability to work with data and documentation accurately

What You'll Do.

Maintain and update shareholder registers on the platform

Extract and prepare shareholder registers as required

Initiate and configure the closing process on the platform

ensuring all fundraising methodologies and details (e. g.

LP type) are correctly set up

Verify investor KYC completion and the availability of signed subscription agreements

Collect signed minutes and resolutions

and notify the client

Monitor API notifications and ensure proper registration on the platform (when applicable)

Open transfer processes or coordinate with the client as per SLA

Collect signed legal agreements and input transfer details into the platform

Initiate the capital call or coordinate with the client via API

Verify compliance for any blocked investors and address issues as needed

Confirm reconciliation with Accounting before generating calculations

or side letter conditions as per the LPA

Send calculations for client review

distribute notices to investors

and ensure proper uploads to relevant portals

Track and record all investor transactions (subscriptions

Store all investor agreements (side letters

LP agreements) and updates

notifying KYC/AML of changes

Manage direct subscriptions

and share transfers on the platform

Reconcile payments and verify distribution payments to LPs in coordination with the Accounting system

How You'll Work.

Team & Collaboration

Work effectively within the team, supporting colleagues and contributing to a cooperative environment focused on achieving collective goals; Communicate clearly and professionally with team members and stakeholders, ensuring transparency and understanding in all interactions; coordinate with the client as per SLA; coordinate with the client via API, depending on SLA; in coordination with the Accounting system

Communication Scope

Communicate clearly and professionally with team members and stakeholders, ensuring transparency and understanding in all interactions

Full Job Description

### **About the role:** At fundcraft, we’re revolutionising the fund industry through a fully digital, integrated, and scalable product: digital fund operations. Our Transfer Agency team plays a key role in this mission by ensuring accurate and efficient investor onboarding, transaction processing, and investor recordkeeping for alternative investment funds. As part of the Product Delivery department, the Transfer Agency function sits at the core of client delivery and regulatory compliance. You'll work closely with internal and external stakeholders to support fund managers and their investors throughout the investor lifecycle, while leveraging technology to streamline and elevate the TA experience in the fundcraft way of working. We’re looking for detail-oriented professionals who thrive in fast-paced environments and are motivated to challenge the status quo of traditional fund administration. This position is based in Spain and reports directly to the Manager in Transfer Agency & Register. ### **Key Responsibilities:** * Maintain and update shareholder registers on the platform. * Extract and prepare shareholder registers as required. * Initiate and configure the closing process on the platform, ensuring all fundraising methodologies and details (e.g., board date, commitments, share classes, geography, LP type) are correctly set up. * Verify investor KYC completion and the availability of signed subscription agreements. * Collect signed minutes and resolutions, finalise the process, and notify the client. * Monitor API notifications and ensure proper registration on the platform (when applicable). * Open transfer processes or coordinate with the client as per SLA. * Collect signed legal agreements and input transfer details into the platform. * Initiate the capital call or coordinate with the client via API, depending on SLA. * Verify compliance for any blocked investors and address issues as needed. * Confirm reconciliation with Accounting before generating cal

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