About TMF Group
TMF Group is a leading provider of critical administrative services, helping clients invest and operate safely around the world. Our 10 000 experts and 120 offices in 86 jurisdictions worldwide serve corporates, financial institutions, asset managers, private clients and family offices, providing the combination of accounting, tax, payroll, fund administration, compliance and entity management services essential to global business success.
Job Purpose
TMF Fund Services is an independent alternative fund administrator with over two decades of experience in providing an extensive range of services, coupled with a very personal approach. We combine our technology, expertise and global infrastructure to deliver a customized package of services to our clients. These include Fund Administration, Investor Services, Portfolio & Managed Account Services, Depositary and Corporate Services.
Key Responsibilities
- Assist the manager with tax and audit processes
- Provide necessary information to auditors and tax accountants for completion of audits and tax returns within scheduled time frames
- Ownership of client product delivery, managing both internal and external timelines
- Preparation of accurate:
- Quarterly management fee calculations
- Management accounts
- Annual financial statements in accordance with applicable financial reporting framework
- Distribution calculations and distribution letters
- Capital call calculations and capital call letters
- Carried interest and waterfall calculations
- Equalization calculations
- Investor registers
- Payments
- Any other deliverables as agreed in administration agreement
- Manage relationships
- Provide exceptional client service experience
- Act as a client contact, with responsibility for responding to client questions and requests
- Interfacing and enhancing relationships with various stakeholders such valuations, treasury, investor relations, custodians, and management company teams among other.
- Read and understand various agreements, including the Service Level Agreements to determine how the provisions impacts the operations and reporting deliverables.
- Bachelors degree, preferably in accounting
- At least 3 years experience in Fund accounting for Alternative Funds (Private Equity, Real Estate, Private Debt) or completed SAICA/SAIPA articles
- Good knowledge of IFRS and ideally other GAAPs
- Knowledge of Investran and/or Yardi this would be considered as advantage
- Familiarity with tax-efficient European fund structures and related investment vehicles and regulatory requirements this would be considered as advantage
- Other characteristics: accurate, self-motivated and able to work both independently and as part of a team, deadline driven and able to maintain a portfolio of clients
An exciting opportunity in an international company
Professional development opportunities as well as extensive individual further training opportunities, supported by our TMF Business Academy
A career within an ever evolving market
Flat hierarchies with direct contact to management and international exchange
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