Associate, Finance and Operations
Job Summary
Job Purpose
The Associate Finance Operations provides hands-on execution support across core finance activities including fund accounting reconciliations financial reporting processes treasury operations accounts payable/receivable and statutory compliance. This role is expected to work fluidly across both fund and operational finance functions ensuring timely and accurate transaction processing data integrity and financial control.
The Associate collaborates closely with the investment and wealth management teams to reconcile client flows prepare fund-related schedules and support internal and external reporting.
Reports to:
Financial Controller
Key Internal & External Interactions
Internal Interactions | External Interactions |
Legal & Compliance | Banks & Financial Institutions |
Wealth Management Team | Vendors & Payment Providers |
Technology Team | External Auditors & Tax Advisors |
Regulatory Bodies |
Key Responsibilities
Financial Reporting Control & Compliance
Maintain accurate financial records and supporting schedules to ensure readiness for financial reporting management accounts and audits.
Prepare data inputs and draft materials for regulatory reporting ensuring accuracy and timely submission.
Flag reporting risks or inconsistencies to the Financial Controller and recommend corrective actions.
Collect necessary data and prepare accurate tax filings in compliance with tax laws and regulations.
Monitor accounts receivable and payable transactions ensuring accuracy and adherence to internal policies.
Manage lease agreements and ensure compliance with IFRS 16 in lease-related accounting.
Support internal financial controls including adherence to approval processes and compliance with company policies.
Prepare payroll schedules and ensure accurate computation of salaries benefits and statutory deductions.
Fund Accounting
Maintain fund ledgers track inflows/outflows and prepare supporting schedules for financial reporting.
Calculate and verify net asset values (NAVs) ensuring accurate pricing and expense allocation.
Track fund-level expenses including management fees custodian fees and administrative costs.
Prepare fund performance reports (income statements balance sheets cash flow statements) for internal use and regulatory submission.
Process and post fund transactions ensuring compliance with IFRS and regulatory timelines.
Cash Flow Treasury & Asset-Liability Management
Monitor and manage daily cash flow to ensure liquidity for operations fund transfers and redemptions.
Execute cash transfers payments and receipts efficiently to maintain smooth financial operations.
Support short-term cash forecasting and tracking of bank account activity.
Monitor and reconcile key balance sheet exposures across assets and liabilities.
Track asset utilization and liability obligations to ensure financial stability and compliance.
Reconciliation & Payment Management
Perform reconciliations of bank statements intercompany accounts and ledger balances.
Investigate and resolve discrepancies across systems custodians or third-party accounts.
Oversee and process payments and disbursements ensuring transactions are completed accurately and on time.
Ensure vendor invoices and reimbursements are processed within policy limits.
Expense & Cost Management
Track and allocate operational and fund-related expenses ensuring accuracy and compliance with internal policies.
Monitor vendor invoices and expense reimbursements for completeness accuracy and timely processing.
Analyze cost drivers across business units to support expense optimization and cost of funds (COF) management.
Support periodic cost allocation exercises including preparation of schedules for management fees custodian fees and other operating expenses.
Performance Planning & Analysis
Track financial performance metrics and variances and prepare analysis for senior review.
Maintain and update financial forecasting templates ensuring data accuracy and timely refreshes.
Maintain and run financial models performing scenario testing and validating outputs.
Audit & Assurance Coordination
Compile necessary financial data for audit schedules and documentation.
Assist in responding to auditor queries and gathering supporting materials.
ERP & Financial Systems Proficiency
Use ERP and accounting tools to input extract and validate financial data.
Troubleshoot basic system issues and assist in system upgrades or integrations affecting finance operations.
Operational Efficiency & Process Improvement
Review and optimize internal finance processes to enhance accuracy and operational efficiency.
Identify opportunities for automation and process improvement to streamline finance operations.
Support ad-hoc financial projects system enhancements or process improvement initiatives as directed by senior leadership.
Requirements
Requirements
Bachelors degree in Finance Accounting Business Administration or a related field.
A professional certification such as ICAN ACCA is strongly preferred.
Minimum of 3-5 years of experience in financial reporting finance operations management or a similar role.
Demonstrated experience with financial assets/liabilities reporting tax & regulatory compliance budgeting and reconciliation processes.
Advanced proficiency in financial software and tools (e.g. Infoware QuickBooks etc).
Strong knowledge of tax regulations regulatory reporting and audit requirements.
Proficiency in Microsoft Excel and the ability to analyze large datasets effectively.
Exceptional attention to detail and analytical skills.
Excellent communication and interpersonal skills to collaborate with cross-functional teams.
Proactive problem-solving approach with a focus on continuous improvement.
Required Skills:
Excellent communication skills to articulate complex investment strategies and concepts to both internal stakeholders and clients. Demonstrated leadership skills in managing investment teams and fostering a collaborative and high-performance culture. Possesses strong business and financial acumen. Demonstrates exceptional interpersonal and stakeholder management skills. Adherence to industry best practices and fiduciary responsibilities. Exhibits a robust analytical mindset. Team-oriented with a talent for fostering collaboration and connected thinking. Intellectually curious and inquisitive. Organized and detail oriented. Maintains a strong focus on excellence. Possesses a thirst for knowledge and continuous learning. Ability to design efficient systems. Radiates an energetic positive and innovative demeanor. Demonstrates the ability to influence others to achieve team goals.
Required Education:
Bachelors Degree