Company:
TMF Group
Industry: Banking / Financial Services
Deadline: Not specified
Job Type: Full Time
Qualification: Bachelors
Experience: 3 years
Province: Western Cape
City: Cape Town
Field: Finance / Accounting / Audit
Discover the Role
- TMF Fund Services is an independent alternative fund administrator with over two decades of experience in providing an extensive range of services, coupled with a very personal approach.
- We combine our technology, expertise and global infrastructure to deliver a customized package of services to our clients. These include Fund Administration, Investor Services, Portfolio & Managed Account Services, Depositary and Corporate Services.
Key Responsibilities
- Assist with managing tax and audit processes
- Provide necessary information to auditors and tax accountants for completion of audits and tax returns within scheduled time frames
- Ownership of client product delivery, managing both internal and external timelines
Preparation/review of accurate:
- Quarterly management fee calculations
- Management accounts
- Annual financial statements in accordance with applicable financial reporting framework
- Distribution calculations and distribution letters
- Capital call calculations and capital call letters
- Carried interest and waterfall calculations
- Equalization calculations
- Investor registers
- Payments
- Any other deliverables as agreed in administration agreement
- Manage relationships
- Provide exceptional client service experience
- Act as a primary client contact, with responsibility for responding to client questions and requests
- Leading regular scheduled meetings with clients
- Interfacing and enhancing relationships with various stakeholders such valuations, treasury, investor relations, custodians, and management company teams among other.
- Manage, train, and assist manager with developing Junior staff members
- This includes onboarding and enforcing company policies among other.
- Act as point of support for team members
- Read and understand various agreements, including the Service Level Agreements to determine how the provisions impacts the operations and reporting deliverables.
Key Requirements
- Bachelor’s degree, preferably in accounting
- At least 3 years’ experience in Fund accounting for Alternative Funds (Private Equity, Real Estate, Private Debt) with at least 1 years’ experience as a reviewer or
- A qualified accountant ideally ACCA, CA, or CIMA
- Good knowledge of IFRS and ideally other GAAPs
- Knowledge of Investran and/or Yardi– this would be considered as advantage
- Familiarity with tax-efficient European fund structures and related investment vehicles and regulatory requirements – this would be considered as advantage
- Other characteristics: accurate, self-motivated and able to work both independently and as part of a team, deadline driven and able to maintain a portfolio of clients
Method of Application
Submit your CV and Application on Company Website: