Create Email Alert

ⓘ There was an unexpected error processing your request.

Please refresh the page and try again.

If the problem persists, please contact us with your issue.

Email address is already registered

You can always manage your preferences and update your interests to ensure you receive the most relevant opportunities.

Would you like to [visit your alert settings] now?

Success! You're now signed up for Job Alerts

Get ready to discover your next great opportunity.

Similar Jobs

  • Jtc Group

    Fund accountant - fund services

    Milnerton, Western Cape

    EMPLOYMENT TYPE: Permanent DEPARTMENT: Fund Services DIVISION: Institutional Client Services WORKPLACE STRUCTURE: Hybrid ROLE OVERIVEWPURPOSE OF JOBTo collate,calculate, process, investigate and check fund information in order to producethe Net Asset Values for the specific Fundswhich JTC administers within defined deadlines and regulatory requirem

    Job Source: Jtc Group
  • Communicate Recruitment

    Fund accountant

    Cape Town, Western Cape

    A well-established client of ours, with an international footprint, is seeking a Fund Accountant. There are great benefits and a hybrid work-model. If you have completed or are about to complet your SAICA or SAIPA articles, please share your CV with us to find out more. Prepare, monitor, and capture cash movements (cash management)Prepare and perf

    Job Source: Communicate Recruitment
  • SALT Employee Benefits

    Fund Accountant

    Cape Town

    The Fund Accountant need to manage the day to day accounting duties for a specific bank account. The Fund accountant will be responsible for the management/reconciliations of various general ledger accounts which is reconciled monthly. They will also assist the Senior Fund Accountant with the preparation of the audit workings. They will be doing re

    Job Source: SALT Employee Benefits
  • CA Financial Appointments

    Fund Accountant

    Cape Town

    • Ending Soon

    A leading asset manager based in Cape Town is in search of a Fund Accountant to join their dynamic team. The ideal individual will be someone who is able to foster meaningful relationships, and be someone who is continuously looking at ways to improve business processes. Responsibilities: Work alongside portfolio managers, investment directors and

    Job Source: CA Financial Appointments
  • Communicate Finance

    Fund accountant

    Cape Town, Western Cape

    These jobs were popular with other job seekers Reference: CTF018192-SL-1 A fund specialist with international offices, assisting onshore and offshore clients with investment options and funding. With their unique design, teams are assigned to either multiple groups of clients or manage smaller portfolios with higher net worth clients. The fund acco

    Job Source: Communicate Finance
  • Apex Group

    Fund accountant

    Cape Town, Western Cape

    • Ending Soon

    Description Role summary: We are seeking a Fund Accountant, reporting to a Manager within the Alternative Asset Services Division of Apex, to have responsibility for the preparations of accurate portfolio valuations on a timely basis. You will typically be responsible for the preparation/overseeing of a number of client portfolios (underlying acco

    Job Source: Apex Group
  • Apex Group

    Fund accountant - uk fund accounting (sa)

    Cape Town, Western Cape

    Description Fund Accountant - Offshore Fund Accounting (S. A)Summary of the position The role of the Fund Accountant - Offshore Fund Accounting (S. A) will be to perform and provide assurance on offshore fund valuations as produced by the Offshore Fund Accounting (S. A) t eam based in South Africa at our Mowbray Office. M ain responsibilities of

    Job Source: Apex Group
  • Tmf Group

    Junior fund accountant

    Cape Town, Western Cape

    Wherever you’re based and whatever your role at TMF Group, one thing’s for certain: you’ll be part of a truly diverse, global business and benefit from the many advantages that brings. Already Applied?Update your details, view your applicationand progress Login Job search Already Applied?Update your details, view your applicationand progress Logi

    Job Source: Tmf Group

Fund accountant - investor services - fund services (contract)

Milnerton, Western Cape

R 300000 ZA Per annum

Fund Accountant - Investor Services - Fund Services (Contract) EMPLOYMENT TYPE: Temporary/Fixed Term Contract DEPARTMENT: Fund Services DIVISION: Institutional Client Services ROLE OVERVIEWPURPOSE OF JOBThe Transfer Agency& Investor Services function is responsible for the accurate maintenance ofall Shareholder Registers for open-ended funds administered by JTC. Tasksinclude the following: The timely and accurate capturing, execution and settlement of all investor subscription, redemption and switch transactions. The correct execution of all share/unit transfers. The calculation of trail, rebate and introductory commission calculations and payments. The calculation and payment of all income distributions, side pocket and liquidating fund redemptions & distributions Processing and ensuring all documentation in place for distributions. Uploading of all required payments to banking platforms as per agreed processes. Review of client mailboxes ensuring that all emails are actioned in accordance with the agreed client turnaround time. Preparation of weekly/daily cash reconciliations and proper investigation and resolution of any reconciling differences. Processing of static data changes to investor information. Manage client deliverable deadlines. Performing a customer service role in shareholder query resolution, manager and investor related query resolution and reporting. Processing of new investors loaded onto the system. The accurate maintenance and monitoring of all shareholder data including customer due diligence and know your customer information retention. Actively participate in ensuring all processes and procedures are properly documented and at hereto to ensure no accounting errors occur and the team has latency in place. Preparation of regular reporting e.g. Admin reports, daily client reporting, etc. Query and issue resolution within the team (whether driven by system issues, or client or banking issues) to ensure no queries or issues result in an error, breach or client dissatisfaction. Investigate errors, complete the required JTC error reporting process and implement the required remedial action in order to ensure the error is not repeated. Actively and continually identify and report high risk areas and gaps in processes to ensure the identification and escalation of risks and gaps. Participate actively in projects, specifically risk reduction and efficiency gain projects relevant to the related fund admin teams to ensure the successful implement and completion of the specific Fund Admin project actions and timelines. The preparation of the relevant investor reporting files to SARS or equivalent regulatory body. Thepreparation of MI reporting as requested. The service focus areaoperates under the strict guidelines and parameters of the team operationsmanuals, the relevant funds' scheme particulars and all other relevant Group, Regulatory or Statutory guidelines. The service focus areaoperates within an approved operating model and framework. The role is considered to be at all times a preparation role. Thecandidate will be directly responsible for the quality control, adherence to Scheme Particulars and SLAs and outperformance of operational deadlines andclient service delivery. MAIN RESPONSIBILITIES AND DUTIESUnderstanding the TA system and building the relevant processes and controls in order to perform daily operational processes. Ensure complete and accurate documentation of all processes. Ensure that the database and underlying KYC is accurate and up to date. This includes assisting in projects to obtain missing KYC and CDD data where instructed to. Ensure accurate upload, maintenance and control of the client core static data in the system in line with departmental procedures, ensuring it is successfully reviewed. Ensure accurate acknowledgment of all updates to the client account static data. Process and quality check Investors Transfer instructions within agreed turnaround times and retain records of outstanding or missing transfer information. Provide information for the internal and external reporting in accordance with relevant Service Level Agreements, direct requests from clients or other parties. Act as a contact point for clients and fund managers for all registration related queries and issues. Ensure the accurate control, upload and monitoring of all client dealing instructions and the Finswitch upload in line with operational procedures. Ensure the respective fax / email boxes are reviewed regularly to ensure correct execution of deals and queries. Processing of deals in a timely manner. Processing of dealing days in accordance with operational procedures and SLA's and contractual obligations. Processing of income distributions in a timely and accurate manner. Reconciliation production and self-checking processes. Preparation of instructions for the share dealing related cash movements to the relevant custodians. Timely dispatch of contract notes within regulatory requirements ensuring all requirements are fulfilled. Ensuring that all policies and procedures are adhered to and ensuring efficient and prompt query resolution. Actively participate in team initiatives such as procedure documentation. To continually monitor deadlines and ensure work is delivered within agreed deadlines. Be responsible for the thorough processing of all transactions prior to and subsequent to dealing days and execution of any reconciliation functions, payment and redemption proceeds payments. Respond in a timely manner to all investigation work as instigated by either the client, intermediary, agent or underlying investor. Participate in the enhancement of operational procedures. Participate in the support, training and development of all personnel across the team and generate a culture of teamwork. Take responsibility for the maintenance of the respective dealing operations manuals and operational / system changes. Participation in project work. Ensure adherence to the company risk reduction process and applicable policies. ESSENTIAL REQUIREMENTS3+ years relevant financial services experience. Working knowledge of Microsoft packages, including Excel, Outlook and Word. Ability to work within pre-determined deadlines and prioritizing workloads whilst working under pressure. Ability to demonstrate effective communication skills. Ability to coach fellow team members. Ability to identify failure in controls/processes. Excellent attention to detail and accuracy. Excellent line management skills. Excellent telephone communication skills.#LI-RA1

#J-18808-Ljbffr

Apply

Create Email Alert

Create Email Alert

Fund accountant - investor services - fund services (contract) jobs in Milnerton, Western Cape

ⓘ There was an unexpected error processing your request.

Please refresh the page and try again.

If the problem persists, please contact us with your issue.

Email address is already registered

You can always manage your preferences and update your interests to ensure you receive the most relevant opportunities.

Would you like to [visit your alert settings] now?

Success! You're now signed up for Job Alerts

Get ready to discover your next great opportunity.