About the job
COMPANY OVERVIEW
KKR is a premier global investment firm specializing in alternative asset management and providing innovative capital markets and insurance solutions. Our mission is to deliver outstanding investment returns by employing a disciplined, long-term investment strategy, engaging top-tier talent, and fostering growth within our portfolio companies and the communities we serve. KKR sponsors a variety of investment funds targeting private equity, credit, and real assets, while also partnering with strategic affiliates managing hedge funds. Our insurance affiliates deliver retirement, life, and reinsurance products through Global Atlantic Financial Group, ensuring a wide range of financial solutions for our clients.
TEAM OVERVIEW
At KKR, our Technology team is at the forefront of shaping the firm’s technological landscape. We view technology as a critical business enabler and a catalyst for global scalability and transformation of our business processes. Our culture of excellence is fueled by efficient workflow automation, democratization of data, and the strategic integration of cutting-edge technologies to meet our operational needs effectively.
POSITION SUMMARY
The Investments Operations & Reference Data Technology Team plays a vital role in the design, development, and maintenance of KKR’s strategic business systems. These systems underpin investment trading, pre- and post-trade allocation, market and reference data management, trust compliance, cash management, and essential risk control reporting.
Our technology solutions cater to a wide array of financial instruments, predominantly in Fixed Income, including investment-grade and high-yield bonds, commercial and residential mortgage loans, and various alternative asset-backed securities such as private securitizations. Additionally, the firm engages in derivative transactions to mitigate risks linked to annuity liabilities arising from our insurance sector.
Collaboration is key; our team works closely with:
- Asset Allocation Team: Focused on optimizing asset-liability matching and facilitating periodic portfolio rotations to enhance yield.
