Manager - Offshore Fund accounting

1 month ago


Cape Town, Western Cape, South Africa Apex Group Full time


Recruitment for a Manager - Offshore Fund Accounting

Apex Group Ltd., established in Bermuda 2003, is a global financial services provider. With 85 offices in 42 countries worldwide and 10,000 employees upon the close of announced acquisitions, Apex delivers and extensive range of services to asset managers, capital markets, private clients and family offices. The Group has continually improved and evolved its capabilities to offer a single-source solution through establishing the broadest range of services in the industry; including fund services, digital onboarding and bank accounts, depository, custody and super ManCo services, business services including HR and Payroll and a pioneering ESG Ratings and Advisory service for private companies.

Apex Group includes FundRock , LRI and European Depository Bank. F und administration is where our business started and the cornerstone of our single-source solution offering . Our current asset under administration is $3 trillion and continues to grow globally.

An opportunity has arisen for a Manager - Offshore Fund Accounting to join our Apex Cape Town office, based in Mowbray.

Summary of the position

The successful candidate will be expected to manage multiple teams of offshore fund accountants who will perform the accounting and administration for various investment f und types domiciled in British Virgin Islands, Cayman Islands, Guernsey and Luxembourg. The individual will be required to oversee the fund accountings teams daily tasks to ensure all deliverables are produced and dispatched on time in accordance with client service level agreements (SLA) and in line with Apex operational and risk quality standards.

To manage the teams and all functional deliverables under the Offshore Fund Accounting business unit, the role will be focused, but not limited to, the following supervisory responsibilities that include: resource and task planning, recruitment of appropriate experienced staff to effectively discharge functional activities, resolve operational queries, review fund accountants daily/weekly/monthly deliverables, manage various third party expectations, escalate operational issues, while ensuring operational processes are followed and quality standards adhered to.

Apex is looking for a self-motivated and thought ful, experienced leader in the Offshore Fund Accounting space to lead, recruit, supervise, appraise, train and coach Offshore Fund Accounting teams to maximize this business unit operational efficiencies. To achieve this, the individual will be required to assist with the design, implementation and maintenance of an operating model that continues to meet regulatory standards, obligations under fund prospectuses, client SLA terms, while adhering to quality standards. Apex is seeking an individual with extensive industry experience and offshore fund accounting knowledge.

The position is a senior, full-time role which will report directly to the Senior Manager - Offshore Fund Accounting.

Outline of main duties and responsibilities

The successful candidate will be responsible for the following main functional responsibilities:

Fund Accounting:
  • Show thoughtful leadership in the practices and processes of accounting for offshore investment funds ;
  • Demonstrate a deep understanding of fund valuations for offshore open-ended investment funds ;
  • Motivate staff and identif y training and development needs;
  • Ensure accurate calculation of f und valuations through oversight review s of cash and scrip reconciliations, expense accruals and reporting;
  • Ensure inaccuracies in fund valuations and NAV errors are identified, administered internally and communicated to clients and appropriately remediat ed;
  • Perform valuation quality assurance reviews on a regular basis to ensure consistent quality of product output between teams ;
  • Ensure fund valuations are administered in line with fund legal documentation, administrator policies and TCF principles

Operational Management:
  • Setting up and maintaining a production schedule that provides for all Offshore Fund Accounting teams fund valuation deliverables ;
  • Plan the team member allocations to ensure all valuation activities and deliverables for Offshore Fund Accounting team s meet SLA timelines;
  • Manage the Offshore Fund Accounting daily output in accordance with daily/weekly/monthly valuations production schedule;
  • Monitor service delivery of Offshore Fund Accounting team s to SLA s and client expectations to ensure timely and accurate NAV calculations are delivered and client queries addressed;
  • Actively manage issues and risks to resolution for all escalated matters in Offshore Fund Accounting team in a timely and efficient manager, keeping the Senior Manager - Offshore Fund Accounting informed at all times;
  • Co-coordinate and review all processes, checklists and controls pertaining to Offshore Fund Accounting team s to ensure accuracy and completeness of processes and controls followed .
  • Review operational processes periodically to ensure a smooth operation, adherence to quality standards and to identify process gaps and documentation requiring updates ;
  • Engage with senior specialists to identify, design and implement process efficiencies through automation of processes.
  • Coordinate performance management of each team member, that include s setting up KPIs that align s with job description s , focus on staff development and provide performance feedback;
  • Participate and lead training to teams with the assistance of senior specialists (where needed) to allow knowledge share within the team s ;
  • Meet with other jurisdictions oversight managers monthly to discuss operational open items and client satisfaction feedback where operating model includes delegation of services to the South African office.
  • Provide mentorship and motivation to staff to drive a high-performance outputs from teams .


Relationship Management:
  • R eview SLA to ensure terms of agreements are adhered to with external and internal clients;
  • Establish and maintain key relationships, particularly with internal counterparts in other functional units , across offices in the same and in other jurisdict ions.
  • Establish and maintain strong relationships with external clients to ensure good client satisfaction levels are maintained .
  • Drive and coordinate high-performance from the teams and collaborate with other operational team managers to enable effective delivery and resolution of all matters .
  • Hold team leaders accountable for delivery and results.


Risk Management:
  • Ensuring that appropriate operational controls are in place to mitigate risk.
  • Log and review incidents to ensure appropriate corrective actions are recorded and implemented to mitigate risk from reoccurring.
  • Driv e continuous improvement projects in your area with assistance from allocated senior specialists;
  • Assess opportunities for improved efficiencies and reduced overhead in existing processes, including new technologies and tools;
  • Assess implications of operational controls within the domain on the ISAE


Project management:
  • Manage delivery of all inputs required from offshore fund accounting team as part of client onboarding and implementation process to ensure a smooth go-live transition.
  • Manage allocation of appropriate resources to support client-implementation and go-live transition.
  • Implement checks and controls with assistance of senior specialist after operational take-on of new clients to mitigate risk .
  • Provide management assistance on business related projects that can include but are not limited to system migrations, client take- on's , process improvements as well as the integration of business processes between offices.


Skills and experience required

The successful candidate will require:
  • A relevant tertiary business qualification (minimum Honors B.Com or equivalent);
  • At least 7 years' experience in Asset Management portfolio administration and pricing;
  • Minimum of 3 years in a management role in Asset Management portfolio administration and pricing;
  • Strong all-round understanding and experience of fund accounting processes within back office administration;
  • Good knowledge of exchange traded and OTC derivatives as well as other asset classes e.g. Equities, Fixed Interest and FX;
  • Confident & enthusiastic, and have a structured approach to work;
  • S trong communication skills (written & verbal );
  • Ability to work in a pressurized environment on a regular basis;
  • A can-do attitude and ability to make decisions assertively.
  • Individual need to be self-motivated, conscientious and hard-working to meet tight deadlines and committed to deliver work of a high standard.
  • Essential that the candidate is reliable and flexible as far as working hours are concerned ;
  • Knowledge and experience of InvestOne is essential;
  • Experience of Paxus, Advent Geneva, NX Manager and Xceptor is an advantage;
  • Knowledge of and experience with reporting standards which i n clude IFRS, Lux GAAP will be beneficial; and
  • An advanced level of experience in using Excel is needed. .


Reporting structure

The Manager: Offshore Fund Accounting will report to the Senior Manager - Offshore Fund Accounting.

Remuneration level

Remuneration will be market related and commensurate with experience and seniority. In addition, the successful candidate will receive a competitive benefits package and be eligible to participate in the firm-wide discretionary bonus scheme.

1

  • Cape Town, Western Cape, South Africa LRI Invest Full time

    Recruitment for a Manager - Offshore Fund AccountingApex Group Ltd., established in Bermuda 2003, is a global financial services provider. With 85 offices in 42 countries worldwide and 10,000 employees upon the close of announced acquisitions, Apex delivers and extensive range of services to asset managers, capital markets, private clients and family...


  • Cape Town, Western Cape, South Africa Apex Group Full time

    Recruitment for a Manager Offshore Fund AccountingApex Group Ltd., established in Bermuda 2003, is a global financial services provider. With 85 offices in 42 countries worldwide and 10,000 employees upon the close of announced acquisitions, Apex delivers and extensive range of services to asset managers, capital markets, private clients and family offices....


  • Cape Town, Western Cape, South Africa Apex Group Full time

    Recruitment for a Manager Offshore Fund AccountingApex Group Ltd., established in Bermuda 2003, is a global financial services provider. With 85 offices in 42 countries worldwide and 10,000 employees upon the close of announced acquisitions, Apex delivers and extensive range of services to asset managers, capital markets, private clients and family offices....


  • Cape Town, Western Cape, South Africa Yazoo Recruitment Specialists Full time

    Senior Fund Accountant with a related Degree and minimum 5 years' experience in the Asset Administration of local and offshore Portfolios, required for the asset running of the day to day administration of local and offshore portfolios, for an Asset Management Company based in Constantia, Cape Town.Minimum requirements: Tertiary Degree essential Minimum 5...

  • Hedge Fund Accountant

    4 weeks ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    Role summary We are seeking a Fund Accountant, reporting to a Manager within the Fund Accounting Division of Apex to prepare accurate portfolio valuations and financial statements. The Fund Accountant role involves preparations of accurate portfolio valuations on a timely basis. You will typically be responsible for the accounting of a number of portfolios....


  • Cape Town, Western Cape, South Africa Apex Group Full time

    We are seeking a Senior Fund Accountant (SFA), German speaking is preferred in the Johannesburg Global Service Centre (GSC) . The SFA will support a growing team that provid es a full suite of fund accounting and financial reporting services to our clients. The role will include accounting and financial reporting, NAV reporting and fund administration...


  • Cape Town, Western Cape, South Africa Graduate Placements Full time

    Responsibilities: Import of daily exchange rates, and sharing of same with internal users Review, source and import offshore fund pricing Attend to integration upload of data, ensuring integrity of data, and all checks Attend to 3rd party investment houses statement requests Prepare and share deal confirmations Prepare balance of payment (BoP) forms for...


  • Cape Town, Western Cape, South Africa Apex Group Full time

    Role summary We are seeking a Trainee Fund Accountant, reporting to a Manager within the Fund Accounting Division of Apex to prepare accurate portfolio valuations and financial statements. The Trainee Fund Accountant role involves preparations of accurate portfolio valuations on a timely basis. You will typically be responsible for the accounting of a...


  • Cape Town, Western Cape, South Africa Apex Group Full time

    Role summary We are seeking a Trainee Fund Accountant, reporting to a Manager within the Fund Accounting Division of Apex to prepare accurate portfolio valuations and financial statements. The Trainee Fund Accountant role involves preparations of accurate portfolio valuations on a timely basis. You will typically be responsible for the accounting of a...


  • Cape Town, Western Cape, South Africa Rory Mackie & Associates Full time

    Overview:An exciting international opportunity has become available in Guernsey, Channel Islands. Our client, a well-established group which has $4.2 billion in assets under management, specializes in the creation of offshore asset management companies in Guernsey and fund structures across all offshore jurisdictions, is looking for a Fund Operations...


  • Cape Town, Western Cape, South Africa Sanlam Full time

    What will you do?Sanlam Private Wealth crafts customised investment portfolios for high-net-worth private clients, charitable institutions, trusts and corporate entities.With assets under management and administration of more than R151 billion, we offer a comprehensive and integrated suite of wealth management solutions.These include equity, retirement and...


  • Cape Town, Western Cape, South Africa Sanlam Full time

    What will you do? Sanlam Private Wealth crafts customised investment portfolios for high-net-worth private clients, charitable institutions, trusts and corporate entities. With assets under management and administration of more than R151 billion, we offer a comprehensive and integrated suite of wealth management solutions. These include equity,...

  • Assistant Manager

    2 weeks ago


    Cape Town, Western Cape, South Africa LRI Invest Full time

    Team Leader Offshore Fund Reporting (SA)Summary of the positionThe role of the Team Leader Offshore Fund Reporting (SA) which will form part of the Offshore Fund Reporting (SA) team based in South Africa at our Mowbray Office, will be to oversee and manage a team reponsible for the preparion of regulatory and other third party reporting for offshore funds...

  • Fund Accountant

    2 months ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    Fund Accountant SA Fund AccountingJob Advert Summary Fund Accountant - SA Fund Accounting manage, to perform fund valuations within the Institutional Funds space. The Fund Accountant will be required to administer the funds efficiently, accurately and within daily deadlines as well as setting up and ensuring checklists and standards are adhered to. Minimum...

  • Fund Accountant

    2 weeks ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    Fund Accountant - SA (CIS) Fund AccountingJob Advert Summary Fund Accountant - SA CIS Fund Accounting must manage to perform fund valuations within the Institutional Funds space. The Fund Accountant will be required to administer the funds efficiently, accurately and within daily deadlines as well as setting up and ensuring checklists and standards are...

  • Fund Accountant

    3 weeks ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    Fund Accountant - SA (CIS) Fund AccountingJob Advert Summary Fund Accountant - SA CIS Fund Accounting must manage to perform fund valuations within the Institutional Funds space. The Fund Accountant will be required to administer the funds efficiently, accurately and within daily deadlines as well as setting up and ensuring checklists and standards are...

  • Fund Accountant

    4 weeks ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    We are seeking a Fund Accountant, reporting to a Manager within the Private Equity Division, to have responsibility for the preparations of accurate portfolio valuations on a timely basis.The Fund Accountant will support a growing team providing a full suite of fund accounting and financial reporting services to our Private Equity clients. The role will...

  • Fund Accountant

    2 months ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    We are seeking a Fund Accountant, reporting to a Manager within the Private Equity Division, to have responsibility for the preparations of accurate portfolio valuations on a timely basis.The Fund Accountant will support a growing team providing a full suite of fund accounting and financial reporting services to our Private Equity clients. The role will...

  • Fund Accountant

    2 weeks ago


    Cape Town, Western Cape, South Africa Network Recruitment Full time

    Are you a meticulous and detail-oriented professional with a passion for numbers and finance? Do you excel in Excel, including proficiency in Macros and VBA? If so, we have the perfect opportunity for youPosition Overview:We are seeking a highly skilled Fund Accountant to join our thriving team. As a pivotal member of our accounting department, you will play...

  • Fund Accountant

    2 months ago


    Cape Town, Western Cape, South Africa Apex Group Full time

    Fund Accountant (Private Equity & Real Estate) - Cape TownSummary of the positionThe successful applicants primary responsibility will be to perform the accounting functions and the related reporting deliverables of our PERE clients in line with the relevant service level agreements.Outline of main duties and responsibilities The roles and responsibilities...