Prepare management accounts and investor reporting.
Draft IFRS-compliant statutory financial statements and assist in resolving audit queries.
Coordinate with Fund Administrators to ensure timely regulatory filings with the Mauritius Financial Services Commission.
Collaborate with Fund Tax Advisors to complete tax computations and ensure timely submissions to the Mauritius Revenue Authority (MRA).
Monitor cash flow manage bank balances and maintain strong relationships with banking partners.
Oversee the accounting functions of Mauritian investment holding companies and regional offices in Abidjan and Nairobi.
Support ad hoc projects financial analysis and process improvement initiatives as required.
Manage the internal controls and processes for the group payments systems and approvals.
Requirements
Qualifications
Education: Bachelor s degree in Accounting Finance or a related field. ACCA or equivalent professional qualification preferred.
Experience
Experience: Minimum of 4-5 years in accounting or finance ideally with exposure to fund administration.
Strong technical accounting expertise and familiarity with Mauritian regulatory environment.
Experience in private equity or investment management is advantageous.
Travels:
Be willing to travel if needed
Skills
Software Proficiency: Proficient in financial software such as Xero QuickBooks and Microsoft
Kindly consider your application unsuccessful should you not be contacted within 7 working days
Benefits
- potential for hybrid work arrangements