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  • Posted: Dec 22, 2025
    Deadline: Not specified
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  • Salt Employee Benefits (Salt EB) is a South African leading privately owned retirement fund administrator established in 1956, managing benefits for more than 920,000 members across the country. With a proven track record in resolving complex historical data challenges, Salt EB has earned a reputation for driving innovation in the retirement fund administrat...
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    Senior Fund Accountant

    Role Overview

    • The Senior Fund Accountant is responsible for the fund accounting function of the SALT Umbrella Provident / Pension Funds. The senior Fund Accountant also assists on all operational matters as they relate to the management of the Fund Accounting portfolio.

    Areas of Responsibilities

    • Operational
    • Banking
    • Set up payments on banking, extract bank statements
    • Check that bank statements are updated and bank reconciliations done accurately and on time.
    • Cashflow management of funds and forecasting of cash requirements in line with the funds policy/ies.
    • Oversee and enhance the relationship with the fund/s bankers.

    Accounts

    • Oversee and manage existing system controls and introduce new enhancements to streamline workflow and mitigate risk factors.
    • Preparing and maintaining standard operating procedures.
    • Development, implementation and management of effective financial controls.
    • Preparation of fund accounts in line with the fund/s accounting policies and implementation of any changes.
    • Ensure adherence to the Service Level Agreement (SLA) of the fund/s.
    • Checking all monthly reconciliations (Accounts Receivable & Accounts Payable).
    • Preparation and review of monthly working papers reating to ledger accounts (GL).
    • Ensuring that all systems in the department are in a working condition.

    Investments

    • Liaising with fund managers, brokers, and custodians to communicate information and resolve issues on a timely basis.
    • Monitor and control investment / disinvestment with the respective Investment Managers.
    • Prepare monthly investment reconciliations.
    • Ensure accurate loading of daily unit prices
    • Ensure accurate loading of cashflow unit prices
    • Ensuring Investments are balanced accurately (ALM).

    SARS

    • Submission of monthly EMP201 and Bi annual 501 recons
    • SARS queries and resolution

    Audit

    • Planning and coordination of the audits to ensure the audit function is executed on a timely and efficient basis.
    • Checking of audit files and working papers for submission to the Fund Accounting Manager.
    • Preparation of the annual financial statements.
    • Providing responses on audit requirements ensuring all audit issues are resolved, and all compliance issues are met.
    • Implementing recommendations from the auditors.
    • Electronic submission of financial statements to the FSCA.

    Valuation

    • Preparation of member data pertaing to the the valuation of the fund/s.
    • Liaising with the actuary for the timeous valuation of the fund/s.
    • Implementing recommendations from the valuator.

    Legislative

    • Provide oversight in the Compliance Management function to ensure that:
    • the company compliance framework and policies are properly embedded and implemented in the business.
    • there is regular reporting on compliance breaches and progress on mitigation and management plans.
    • administrative penalties as a result of compliance breaches are minimised.
    • Monitor the performance of Compliance operational activities within Salt EB to minimise compliance risk through adherence to policies, procedures, and guidelines and in accordance with regulatory requirements.
    • Working closely with the management to ensure that all key risks are identified and are adequately communicated to the relevant business owners.
    • Reporting
    • Preparing monthly management accounts, cashflow statements and investment recons.
    • Drafting of the annual budget for the fund/s and monthly tracking of the fund/s income and expenses against the budget.
    • Provide relevant information for the preparation of fund/s board packs.
    • SARB and C48 reporting
    • Ensure that quarterly Reg 28 compliance reporting is accurate
    • Communicate to management with regard to any fraudulent activities and misrepresentation of information.
    • Customer
    • Ensure adherence to customer and service provider SLA’s.
    • People
    • Assist administrators with accounting issues.

    Education & Qualifications

    • Com. Accounting Degree or similar qualification.

    Essential Knowledge, skills and Experience

    • At least 3 years’ experience in a similar role
    • Evidence of managing a small – medium, but effective team.
    • Computer Literate (Microsoft Office, Excel advance, Work).
    • Everest knowledge required.
    • Caseware knowledge will be an advantage.
    • Good communication skill.
    • Deadline driven.
    • Leadership skills.

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to Salt Employee Benefits on saltebcoza.simplify.hr to apply

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