Fund Operations team of an well-established and reputable financial services group, seeks a Specialist Fund Accountant to join them. This team focuses on the institutional investment products side and is looking to employ a analytical, deadline-driven fund accountant professional, who will thrive in a high-performance environment. A key requirement of this role is current daily NAV's experience.
Why join this team?
- Dynamic and detail-driven institutional fund operations team
- Exposure to a wide range of fund structures, Unit Trusts, Mutual Funds, Multi-Manager Products and the full spectrum of NAV-related activities
What you will be doing :
Calculate daily NAVs for a variety of fund typesPerform daily bank and scrip reconciliationsHandle income accruals, expense calculations, and fund distributionsMonitor and maintain cash positions and margin accountsCapture payments to trustees, custodians, and third partiesPerform NAV verification and variance analysisCalculate performance and benchmark feesConduct weekly fund trial balancesAssist in year-end audits and respond to auditor queriesDocument and enhance valuation processesEnsure timely delivery in line with SLAsWhat we are looking for :
BBusSc or BCom Honours in Accounting or Finance3 years' experience in a similar fund accounting roleStrong analytical and reconciliation skillsExcellent Excel and time management skillsAbility to work under pressure and meet deadlinesA proactive, self-starter with excellent attention to detailBenefits and unique aspects :
Exposure to multi-asset and multi-manager fund structuresHigh-performance, supportive team environmentFocus on continuous improvement and professional growthFlexible working hours if requiredPlease note if you haven't heard back from us within two weeks of submitting your application, unfortunately your application has not been successful this time. We'd still love to stay connected, follow us online and keep an eye out for future opportunities that match your profile.