Fund Associate

Snatch | Accounting & Finance Headhunters

Wes-Kaap

On-site

ZAR 300,000 - 450,000

Full time

14 days+

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Job summary

A leading fund administration company in Cape Town is seeking an entry-level Fund Accountant to support fund administration activities. Responsibilities include financial reporting, calculation of capital allocations, and monitoring fund performance metrics. Candidates should have a BCom in Accounting, and 1-3 years of related experience. This is a full-time role in a supportive environment that promotes professional development.

Qualifications

  • 1 - 3 years of relevant accounting or fund administration experience.
  • Adaptability to office policies and collaborative training.
  • Basic understanding of venture capital and private equity practices.

Responsibilities

  • Support fund administration and operational activities.
  • Calculate capital call and distribution allocations.
  • Prepare financial statements and ensure accuracy.

Skills

Time management
Prioritization
Excel for client reporting and analysis

Education

BCom Accounting or Finance
Bachelor of Accounting
Honours in Accounting

Job description

Join to apply for the Fund Associate role at Snatch | Accounting & Finance Headhunters

Helping SAICA, SAIPA & CIMA professionals land exciting opportunities across the globe 🌟🚀

A trusted and rapidly growing Fund Administration company with billions in assets under administration is seeking a Fund Accountant to join their growing team in Cape Town. The company is known for their strong partner relationships and people-first culture, providing exceptional services and experiences to their clients in the venture capital and private equity industry. Their comprehensive fund administration services and tailored technology solutions make them a leader in the industry.

As a Fund Accountant, you will play a crucial role in supporting fund administration and operational activities. You will have the opportunity to learn and develop your skills while working closely with experienced professionals in the industry. Your responsibilities will include acclimating to the office environment, building relationships with peers, and gaining technical knowledge of fund administration processes and systems.

  • Adapt to office policies and procedures.
  • Train and collaborate with colleagues and interns.
  • Expand professional networks within the office.
  • Create a personal development plan with guidance from a fund controller/mentor.
  • Acquire knowledge of venture capital and private equity industry practices.
  • Understand the significance of limited partnership agreements (LPA) in fund administration.
  • Familiarize yourself with fund operations, including cash/banking processes.
  • Navigate the systems to access relevant data.
  • Calculate capital call and distribution allocations.
  • Monitor and reconcile capital call and distribution wires.
  • Prepare capital call and distribution notices.
  • Record general ledger (GL) entries and perform management fee calculations.
  • Calculate fund performance metrics as requested.
  • Ensure the accuracy of financial statements.
  • Utilize software systems and Excel for client reporting and analysis.
  • Assist with client onboarding/migration to reporting databases.
  • Gain familiarity with tax forms such as 1099 and K-1.
  • Assist with audit confirmations and provide documentation.
  • Participate in financial statement footnotes and expense calculations.

Requirements:

  • BCom Accounting or Finance / Bachelor of Accounting / Honours in Accounting
  • Article clerks who want to enter the Fund Management space will also be taken into consideration
  • 1 - 3 years of relevant accounting / fund administration experience
  • Develop time management and prioritization skills.
  • Market-related salary
Seniority level
  • Entry level
Employment type
  • Full-time
Job function
  • Finance, Accounting/Auditing, and Administrative
Industries
  • Accounting and Funds and Trusts
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