SENIOR FUND ACCOUNTANT (Private Equity&Private Credit …, Soweto
SENIOR FUND ACCOUNTANT (Private Equity&Private Credit …, Soweto
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Soweto, South Africa
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Posted: less than a week ago
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Description
SENIOR FUND ACCOUNTANT (Private Equity&Private Credit Funds) CA (SA)– S/Subs (Claremont / Newlands / Rondebosch), Western Cape, SA (Hybrid)
12-MONTH CONTRACT - Start Immediately!
Highly Competitive Package on Offer negotiable based on Qualification and Years of relevant experience required
Our client, a global investment firm, is seeking a CA(SA)-qualified Senior Fund Accountant to join its growing finance team within its private equity and private credit funds platform.
The role requires strong technical fund accounting expertise, attention to detail and the ability to operate in a fast-paced, investor-driven environment.
Main Purpose of the Role The Senior Fund Accountant will be responsible for the full financial and accounting oversight of allocated private equity and/or private credit fund structures within the firm.
The role requires strong technical accounting capability, a solid understanding of fund structures and a high level of accuracy and ownership in delivering investor and management reporting in a fast-paced, deadline-driven environment.
You will work closely with cross-functional teams, including Investment Deal Teams and Investor Relations, to ensure the timely and accurate delivery of financial reporting, NAV calculations and related fund outputs.
Qualification, Skills and Experience required
CA(SA) qualification (essential)
3–4+ years post-articles experience in fund accounting / financial services
Private equity or private credit fund experience preferred
Strong understanding of fund structures (highly advantageous)
Strong knowledge of IFRS, taxation, and regulatory frameworks
Experience with multi-currency environments (advantageous)
People management experience (advantageous, not essential)
Advanced MS Office skills; Power BI beneficial
Strong analytical ability, attention to detail and ability to manage multiple deadlines
Excellent communication and report-writing skills
Key Responsibilities: Fund Accounting and Administration Operations:
Prepare fund closing workings and income calculations, including management of debtors ageing
Determine investor allocations per project and manage the end‑to‑end drawdown process
Prepare and review project accounting notes, equity and loan schedules, interest calculations, settlements and investment registers
Prepare sources and applications, recycled capital schedules, NAV workings, and distribution waterfalls at fund level
Prepare capital account statements and ad‑hoc investor reports
Manage fund‑level payment processes, creditors ageing, and treasury activities, ensuring timely settlement and accurate cash‑flow forecasting
Ensure compliance with VAT and corporate tax requirements
Manage and coordinate external audits, acting as the primary operational contact
Communication and Stakeholder Engagement
Prepare reporting packs, annual financial statements, governance reports and other management information
Liaise with banks, auditors, tax advisors, and other external stakeholders to support smooth fund operations
Provide timely and accurate responses to management and investor queriesLead and execute ad‑hoc operational and reporting projects as required
Technical Skills
Advanced knowledge of accounting principles and financial reporting standard (IFRS, GAAP etc.)
Excellent problem-solving, critical-thinking, strong attention to detail, ability to manage multiple deadlines and analytical skills
Strong communication abilities (verbal and written), with the capacity to articulate complex concepts to non‑technical audiences
Results‑orientated, ambitious individual who works with a strong sense of urgency and thrives in a fast‑paced setting
Strong knowledge of tax, regulatory and compliance frameworks
#J-18808-Ljbffr
12-MONTH CONTRACT - Start Immediately!
Highly Competitive Package on Offer negotiable based on Qualification and Years of relevant experience required
Our client, a global investment firm, is seeking a CA(SA)-qualified Senior Fund Accountant to join its growing finance team within its private equity and private credit funds platform.
The role requires strong technical fund accounting expertise, attention to detail and the ability to operate in a fast-paced, investor-driven environment.
Main Purpose of the Role The Senior Fund Accountant will be responsible for the full financial and accounting oversight of allocated private equity and/or private credit fund structures within the firm.
The role requires strong technical accounting capability, a solid understanding of fund structures and a high level of accuracy and ownership in delivering investor and management reporting in a fast-paced, deadline-driven environment.
You will work closely with cross-functional teams, including Investment Deal Teams and Investor Relations, to ensure the timely and accurate delivery of financial reporting, NAV calculations and related fund outputs.
Qualification, Skills and Experience required
CA(SA) qualification (essential)
3–4+ years post-articles experience in fund accounting / financial services
Private equity or private credit fund experience preferred
Strong understanding of fund structures (highly advantageous)
Strong knowledge of IFRS, taxation, and regulatory frameworks
Experience with multi-currency environments (advantageous)
People management experience (advantageous, not essential)
Advanced MS Office skills; Power BI beneficial
Strong analytical ability, attention to detail and ability to manage multiple deadlines
Excellent communication and report-writing skills
Key Responsibilities: Fund Accounting and Administration Operations:
Prepare fund closing workings and income calculations, including management of debtors ageing
Determine investor allocations per project and manage the end‑to‑end drawdown process
Prepare and review project accounting notes, equity and loan schedules, interest calculations, settlements and investment registers
Prepare sources and applications, recycled capital schedules, NAV workings, and distribution waterfalls at fund level
Prepare capital account statements and ad‑hoc investor reports
Manage fund‑level payment processes, creditors ageing, and treasury activities, ensuring timely settlement and accurate cash‑flow forecasting
Ensure compliance with VAT and corporate tax requirements
Manage and coordinate external audits, acting as the primary operational contact
Communication and Stakeholder Engagement
Prepare reporting packs, annual financial statements, governance reports and other management information
Liaise with banks, auditors, tax advisors, and other external stakeholders to support smooth fund operations
Provide timely and accurate responses to management and investor queriesLead and execute ad‑hoc operational and reporting projects as required
Technical Skills
Advanced knowledge of accounting principles and financial reporting standard (IFRS, GAAP etc.)
Excellent problem-solving, critical-thinking, strong attention to detail, ability to manage multiple deadlines and analytical skills
Strong communication abilities (verbal and written), with the capacity to articulate complex concepts to non‑technical audiences
Results‑orientated, ambitious individual who works with a strong sense of urgency and thrives in a fast‑paced setting
Strong knowledge of tax, regulatory and compliance frameworks
#J-18808-Ljbffr
Highlights
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Company nameElev8
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Job positionSENIOR FUND ACCOUNTANT (Private Equity&Private Credit Funds) CA (SA) - S/Subs (Claremont / Newland
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