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Finance Manager (CA, SA) - Fund Finance (Private Equity & Private Credit Funds) (FM - Funds 02)Overview
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Finance Manager (CA, SA) – Fund Finance (Private Equity & Private Credit Funds) – S/Subs (Claremont / Newlands / Rondebosch), Western Cape, SA (Hybrid) Highly Competitive Package on Offer negotiable based on Qualification and Years of relevant experience required Our Client, a Global Investment Firm, is currently in search of a financially astute, highly assertive and results orientated finance professional to join their dynamic and growing finance team. You will manage the accounting and financial reporting functions for a portfolio of their private equity / credit funds. One would describe you as having solid technical accounting knowledge, a good understanding of private equity structures, a devotion to quality and the ability to work independently in a fast-paced, client focused environment. You will work closely with cross-functional teams, including Investment Deal Teams and Investor Relations to deliver high-quality and timely outputs.
Main Purpose of the role: The focus of the role will be the overall financial responsibility of the allocated private equity and / or private credit funds function.
Qualification, Skills and Experience required:
Key Responsibilities: Fund Accounting and Administration Operations: - Management and oversight of the outsourced fund administrators and/or internal accounting team to ensure delivery in terms of the services agreement thereby ensuring accurate and timely reporting to management, investors and regulatory bodies. - Oversight of all aspects of financial reporting, control, legal and tax compliance, and financial performance of the funds under management. - Ensure accurate and consistent reporting of fund NAV accounts, supporting key decision-making processes - Review of financial statements in multiple jurisdictions as well as monthly / quarterly management accounts. - Preparation and/or review of various deliverables required for quarterly/annual/ad hoc reporting to investors, the depositary and responding to queries. - Manage the audit process of the various entities within the deadlines. - Ensure compliance from a finance perspective with the various legal agreements which include the Fund Agreements, Investor side letters etc. - Ensure compliance with regulatory requirements, internal policies, and best practices for fund accounting and reporting. - Cash management which aligns with issuing of drawdown notices to investors, disbursements to investments, budgeting, accounts payable, tax etc. - Manage tax and regulatory compliance from a fund administration perspective Audit Support: - Collaborate with auditors, provide support and answer queries, - Review, document and look for improvements in processes within fund administration. - Provide assistance to portfolio investments as required. - Assist with ad hoc projects and tasks. Communication and Stakeholder Engagement: - Reporting: prepare/review financial reports, forecasts for senior management, investment committees, and external stakeholders. - Collaboration: act as a point of contact for finance-related inquiries from investors, auditors, and regulatory bodies. - Investor Relations: collaborate with the investor relations team to support fundraising efforts with fund performance insights. - Professional providers: Work closely with and manage various professional service providers which include outsourced administrators, auditors, depositary and other ad-hoc professional providers such as tax and legal. Technical Skills - Advanced knowledge of accounting principles and financial reporting standard (IFRS, GAAP etc.)
Please email an updated copy of your CV with your degree results to Nicole Spamers: nspamers@elev8recruitment.co.za and Andrea Jones: ajones@elev8recruitment.co.za Contact informationNicole Spamers |