Fund Accountant Institutional Client Services Cape Town

Cape Town, Western Cape, South Africa

Job Description


Job Summary Job Specifications Prepare, monitor and capture cash movements (cash management), investment trades and update transactions on the accounting system to ensure an accurate and timely delivery of the NAV Prepare and perform weekly/daily cash and stock reconciliations including proper investigation of all outstanding issues to ensure a timely resolution of any reconciling differences and no NAV errors occur Monitor daily/monthly asset pricing and pricing sources for corporate actions to ensure securities are updated and valued correctly on the accounting system and no asset pricing errors occur in the valuation Perform and check weekly/daily expense and accrual calculations to ensure that they are reflected correctly in the Net Asset value calculation Prepare and produce an accurate NAV to ensure Reviewers discover no errors on work reviewed resulting in the timely delivery of the NAVs Proactively investigate queries with dealers; brokers; custodians; auditors and clients to ensure a timely resolution of all queries and where applicable to communicate and escalate potential issues in a prompt and effective manner Understand and implement company policies and procedures; client service level agreements and internal controls to ensure compliance thereof and no Custodian or external audit findings occur as a result of them not being applied Monitor and perform weekly/monthly compliance checks to ensure all scheme particulars are adhered to and no concern is raised in Compliances reviews and reports Prepare and send out all valuation e-mails to a pre-defined distribution list to ensure all parties have been timely informed of the NAV Prepare and complete all quarterly statutory returns to ensure specific funds regulatory requirements are fulfilled Accurately update and maintain the relevant sections in the delivery matrix to ensure all parties are aware of what has been completed and Oversight can promptly review the NAV where required Monitor client mailboxes on a daily basis be resolving queries where possible or escalating where required Assist supervisors during audits by providing supporting documents, reconciliations and reports to auditors where required Maintain investor registers and ensure only authorized changes are made and that these are done in a timely manner Subject to client approvals, respond to any investor queries that may arise. Prepare drawdown and distribution notices where requested from the General Partner Prepare capital account statements Minimum Requirements A relevant tertiary qualification including Accounting; Finance; Investments Completed 3 year SAICA/SAIPA articles Relevant experience in a similar role in financial services Excellent numeracy skills High level of accuracy and excellent attention to detail Works well under pressure Strong problem solving abilities Kindly note that by submitting your application for this career opportunity you agree that Guardian Recruiting may use your application for the purpose of the recruitment and selection of the said position,, and this information may be shared with the relevant stakeholders in the business. Please note that only shortlisted candidates will be contacted. Should you not have heard back within a two-week period, please assume that your application was unsuccessful. All job postings are in accordance with our Client's BEE requirements. Please only send certificates when requested to do so

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Job Detail

  • Job Id
    JD1283709
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Cape Town, Western Cape, South Africa
  • Education
    Not mentioned