Fund Reporting Analyst SIAML at Stanbic IBTC Bank
Stanbic IBTC Bank
Lagos, Lagos, Nigeria
2d ago
source : Fidanto

Welcome to Jobsinnigeria careers This website helps you to achieve your career dream by linking you to vacancies from Top Companies in Nigeria Job Seekers are also exposed to best articles for career growth and development Click Here to Subscribe for Job Alerts We strongly advise graduates not to pay money before getting a Job Report fraudulent jobs 160 Company Stanbic IBTC Bank Location Nigeria State Lagos Jobs Job type Full Time Job category Banking Jobs in Nigeria Stanbic IBTC Bank is a leading African banking group focused on emerging markets globally It has been a mainstay of South Africa 8217 s financial system for 150 years and now spans 16 countries across the African continent Standard Bank is a firm believer in technical innovation to help us guarantee exceptional client service and leading edge financial solutions Our growing global success reflects our commitment to the latest solutions the best people and a uniquely flexible and vibrant working culture To help us drive our success into the future we are looking for resourceful individuals to join our dedicated team at our offices We are recruiting to fill the position below Job Title Fund Reporting Analyst 8211 SIAML Job ID 47054 Location Lagos Lagos Island Job Sector Banking Job Details Asset Management Job Purpose The main purpose of the Fund Reporting Analyst is to execute the day to day accounting functions of the managed funds of SIAML These functions include keeping proper accounting records reconciliations valuations and generating fund prices rendering returns to regulatory authorities The Analyst Fund Reporting is also expected carry out the financial reporting and financial accounting functions of SIAML managed funds thereby ensuring that reports generated are in accordance with local and international accounting and regulatory guidelines A successful execution of the job steers the generation of valuation for the mutual funds provision of reports to the Securities and Exchange Commission as well as preparation of the financials for the mutual funds Key Responsibilities Accountabilities Generate valuation for the respective mutual funds being managed by Stanbic IBTC Asset Management Limited SIAML Postings of journals and settlement transactions Generation of valuation reports of the respective managed funds Distribution of the valuation reports to stakeholders Saving of valuation reports Maintaining the General Ledger for the Mutual Funds Daily posting of entries into the General Ledger of the Mutual Funds Daily reconciliation of the Valuation reports against the General ledger Daily sign off of such reconciliation Timeliness in preparation of the audit schedules and the audited financials for the respective funds Execution of relevant and applicable financial reporting standards and assessment of their impact on current processes and procedures Providing support towards planning and coordination of audit engagements for the respective managed funds and portfolios Execution of the applicable financial reporting standards Preparation of the audit schedules and financial statements Engage the external auditors and participate in the timely completion of the statutory audits Proactive in dealing with technical issues arising from changes in reporting framework and standards Contributing to the activities and development of the Fund Reporting team Escalate all issues and challenges affecting the team and the output they produce to the Head Fund Reporting and engage the Technology team to resolve them Provide technical and financial advice to other units and departments thereby assessing the impact of current processes and reporting activities Reporting Preparation of returns to the Securities and Exchange Commission monthly quarterly and half yearly Adhere to compliance with all the local statutory and regulatory filings financial and management reporting Ensure that all matters relating to financial accounting management accounting taxation balance sheet and capital structure management market risk analysis and management and regulatory reporting are executed in accordance with Generally Accepted Accounting Principles the Group s accounting policies and other regulatory guidelines Preferred Qualification and Experience Qualification and Experience Bachelor of Science or equivalent Honours degree in Economics Accounting Finance Actuarial Science Statistics Banking amp Finance or any related field Professional qualifications such as ACA ACCA will be an added advantage Minimum of 2 years experience in Financial Reporting Knowledge Technical Skills Expertise Technical Competencies Financial and Accounting Control Financial System Administration Asset Management Interpreting Financial Statements Preparing Financial Statements Financial Accounting Application Closing Date Not Specified Don 039 t Keep Kindly Share WhatsApp Tweet

My Email
By clicking on "Continue", I give neuvoo consent to process my data and to send me email alerts, as detailed in neuvoo's Privacy Policy . I may withdraw my consent or unsubscribe at any time.
Application form