Job Summary
About the team:
We are excited to invite a talented and ambitious experienced professional to join our clients growing Private Markets Operations Finance team. They are redefining how Private Credit operates combining institutional rigor with intelligent infrastructure to create a platform designed for scale, automation, and transparency. The Finance team is responsible for monitoring and providing oversight over outsourced fund accounting and related operational services provided by third-party administrators for our client’s private markets platforms, including private credit, infrastructure and structured debt funds. Beyond core responsibilities, you’ll play an active role in redesigning key workflows to reduce manual inputs, embed automation, and build more intelligent, forward-looking operational processes.
Responsibilities:
- Be responsible for the day-to-day operational management of the private market funds including:
- Oversight of private fund structures, including capital calls, distributions and cash flows across fund vehicles, ensuring accurate application of distribution waterfalls and legal documentation
- Monitoring investor commitments, capital balances, liquidity levels and minimum reserve requirements
- Oversight of income, expense and hedging cash flows, including review of interest calculations, fees, principal repayments and counterparty payments
- Working closely with various teams across the business to ensure smooth disbursement of funds to our loan counterparties
- Liaise with counterparties and facility agents on the calculation, allocation, invoicing and receipt of interest, fees and capital payments on unlisted debt instruments
- Managing and resolving internal and external queries related to accounting, valuation, fund performance and investor requests.
- Be responsible for the full quarterly and annual financial reporting process:
- Preparation and review of financial information for investor, noteholder and internal reporting
- Review, challenge and sign off of quarterly NAV packs, financial statements and supporting schedules prepared by third party administrators
- Ensure accurate reflection of capital structures, valuation methodologies, income recognition and provisioning
- Partner closely with internal investment, product development, risk and legal teams on fund operations, governance and new product initiatives
- Build and managing external relationships with administrators, trustees, auditors, ratings agencies and investors
- Contribute directly to the future-state design of our operating infrastructure by integrating smart tools, structured data, and automation at the point of execution
Requirements:
- CA(SA) with 1 – 2 years of post-article experience, auditing asset management companies
- Or equivalent professional qualification with 1 – 2 years relevant experience
- Experience with within asset management, private markets or fund administration will be a distinct advantage
Attributes we look for in a person are:
- Ability to analyse, interpret and assimilate information accurately
- Driven and intellectually curious, with a strong attention to detail
- Comfortable in agile, cross-functional environments where priorities shift and innovation is constant
- Driven by results
- The ability to ‘approach and own’ and continuously look for opportunities to develop