Company Description
HPS Investment Partners, a part of BlackRock, is a leading global, credit-focused alternative investment manager that seeks to provide creative capital solutions and generate attractive risk-adjusted returns for our clients. We manage various strategies across the capital structure, including privately negotiated senior debt; privately negotiated junior capital solutions in debt, preferred and equity formats; liquid credit including syndicated leveraged loans, collateralized loan obligations and high yield bonds; asset-based finance and real estate. The scale and breadth of our platform offers the flexibility to invest in companies large and small, through standard or customized solutions.
What you'd do
- Facilitate monthly, quarterly and annual reporting requirements for financing across the HPS platform
- Facilitate borrow and paydown requests to lenders
- Maintain relationship with custodian for asset facilities and facilitate bank account opening where required
- Review monthly or quarterly waterfalls and custodial reports in connection with financing
- Maintain compliance with underlying credit facility covenants
- Manage the closing process and ensure all transfer documents (i.e. Assignment and Assumptions) are executed timely and book into internal systems in accordance with legal documents
- Communicate with deal team, legal team, tax team, and agent banks to resolve settlement bottlenecks and KYC requirements
- Manage inbox and follow up on flagged issues to ensure timely resolution
- Proactively identify and implement opportunities to optimize workflows and enhance operational efficiency
- Lead trade booking and wire processing activities in Aladdin, ensuring accuracy and timely execution
- Starts
- 2026-09-30