Job Description
My client is a leading Pan?African investment firm that develops and manages infrastructure and alternative-asset investments across the continent. They are currently seeking a Senior Accountant Investment Management to join their team on a 7-month fixed-term contract. With a reputation for driving sustainable growth and long-term value, they offer innovative investment solutions that support economic development and institutional investors alike.
Join a dynamic, growth-focused firm at the forefront of Pan-African investment. This is a great opportunity to apply your technical expertise and contribute to strategic financial decision-making.
Position: Senior Accountant Investment Management (7?month fixed-term contract)
The successful incumbent will manage end-to-end accounting, reporting, and compliance across multiple investment entities and funds. This role is responsible for preparing IFRS-compliant financial statements, SARB and regulatory reporting, and management reports while providing technical financial insight to support strategic decision-making.
Qualifications & Experience
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Bachelors degree in Accounting, Finance or equivalent (Honours preferred)
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Completed SAICA/SAIPA articles or equivalent qualification
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Minimum 5?years post-articles experience, preferably in financial services, investment management, or auditing
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Strong knowledge of IFRS and relevant financial reporting standards
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Demonstrated experience in SARB reporting, regulatory filings, and exchange control compliance
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Advanced proficiency in Microsoft Excel (pivot tables, lookups, dynamic modelling)
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Proven experience using Caseware for financial-statement preparation (non-negotiable)
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Strong understanding of investment structures, valuation principles, and fund accounting concepts
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Experience in budgeting, forecasting, and management reporting
Key Responsibilities Investment & Fund Accounting
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Prepare and review monthly, quarterly, and annual financial statements in accordance with IFRS
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Manage daily accounting services for assigned investment entities and funds
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Perform month-end reconciliations and ensure timely closes
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Maintain investment registers, valuation schedules, and fair-value adjustments (IFRS?9 & IFRS?13)
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Prepare SARB submissions, exchange control reports, and approvals
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Coordinate annual audits and prepare financial statements with supporting documentation
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Manage cashflows, funding schedules, and expense monitoring across funds and investment entities
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Conduct financial analysis to support investment decision-making
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Liaise with tax advisors and SARS on computations and deferred tax reconciliations
Budget & Cost Management
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Prepare, monitor, and report on budgets, forecasts, and cost performance
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Provide insights and leadership on improving profitability and cost efficiency
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Present financial and budget reports to management and stakeholders
Governance, Compliance & Risk Management
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Ensure compliance with accounting standards, internal policies, and regulatory requirements
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Support financial forecasting and risk-analysis processes
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Maintain robust internal controls to safeguard fund and entity assets
Stakeholder Management
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Build and maintain effective relationships with key stakeholders across the business
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Respond to stakeholder inquiries and requests to ensure efficient business relationships
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