.Head of Investments and Portfolio ManagementHead of Investments and Portfolio ManagementAbout Syscap: Syscap is a modern tech platform that enables businesses to efficiently access, structure, and manage private debt.
We streamline the debt financing process, offering borrowers a seamless, end-to-end experience from securing capital to optimizing their funding journey.
Syscap is designed to simplify private credit and unlock new opportunities for borrowers.Role Summary: We are seeking an experienced Head of Investments and Portfolio Management to lead our Investments team at Axcess.
This senior role is pivotal in overseeing the entire process from the prospect to debt funding closing.
The ideal candidate will have a strong background in private credit investing, exceptional negotiation skills, and the ability to guide a team of professionals to ensure the successful execution of debt finance with a customer centric and data driven approach.
This position will report to the Chief Operating Officer and Co-founder.This is a senior-level role that requires deep technical expertise in data science, experience with developing and deploying predictive models, and a strategic mindset to align technical outputs with business objectives.
While financial knowledge (e.G., P&L, balance sheets, cash flow analysis) is not mandatory, familiarity with these concepts will be highly advantageous.Key Responsibilities:Lead Investment Strategy: Develop and execute the overall investment strategy for the Axcess private debt fund, ensuring alignment with the platform's growth objectives and risk profile.Team Management & Development: Manage and mentor a team of investment professionals responsible for sourcing, analyzing, and assessing private debt opportunities.
Foster a high-performance culture focused on delivering results and continuous improvement.Deal Structuring & Negotiation: Oversee the structuring of debt financing deals, ensuring that terms and conditions align with both Axcess' and the borrowers' objectives.
Lead negotiations to secure favorable terms while managing risk.Prospect Analysis & Due Diligence: Direct the thorough analysis of borrower prospects, including financial modeling, risk assessment, and credit analysis.
Ensure rigorous due diligence is performed to evaluate borrower credibility and potential.Portfolio Management: Monitor the performance of the debt portfolio, ensuring optimal returns while maintaining compliance with all internal and external guidelines.
Provide ongoing analysis and risk management to safeguard the fund's investments.Stakeholder Communication: Act as the primary liaison between the investment team, internal stakeholders, and external partners, including investors and borrowers.
Communicate progress, strategies, and results to ensure transparency and alignment across all parties