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Specialist | Institutional Fund Operations | Fund Operations (Investment Accounting)

Allan Gray Proprietary Limited

Allan Gray Proprietary Limited is an investment manager, focused on creating financial security for investors. You can access our investment expertise through our unit trusts. Our purpose is to help investors build wealth over the long term. We seek to earn the trust of our clients by providing superior long-term investment performance, outstanding client service and holding ourselves to the highest ethical standards. Since inception, our global mandate share portfolio has achieved an average annual return of 27.4%. This means that an investment of R10 000 made with Allan Gray on 15 June 1974 would have grown (before fees) to R142 111 981 by 31 December 2013. By comparison, the returns generated by the FTSE/JSE All Share Index (before any fees) over the same period would have grown a similar investment to R6 704 663.Job Description The candidate will be responsible for performing the day-to-day operational processes for various corporate actions, investment accounting and market data activities. The candidate will work in Institutional Fund Operations, working closely with the other operational departments (NAV Pricing, Performance, Portfolio Administration) as well as Tax, Institutional Client Services, Legal & Compliance, IT, and Trading. Responsibilities, but not limited to Corporate Actions and Proxy Voting Capture and verify regular and complex corporate events timeously. Facilitate testing and analysis of complex events before processing. Send corporate action election requests to portfolio managers timeously. Send accurate instructions and elections to custodians before applicable deadlines. Process dividend, holdings and fractional payment adjustments. Facilitate and process tax reclaims for clients accurately. Capture and verify distributions monthly and quarterly. Manage the proxy voting process end to end. Keep track of the mailbox for event notices, meeting notices and general queries. instruct custodians timeously ahead of voting deadlines via various channels. Have regular meetings with the Investment team rep (governance analyst) to discuss proxy voting. Update proxy voting and corporate actions stats. Resolve queries diligently and identify areas for improvement. Market Data Ensure daily instrument valuation, pricing and exchange rate processes are completed accurately and timeously. Ensure price and market data files are received from all relevant local and international exchanges, vendors and data providers. Liaise with market data vendors (e.g. JSE, Bloomberg) regarding data quality, pricing and valuation-related queries. Collaborate with the relevant IT domain teams to maintain, develop and enhance the market data infrastructure to keep systems up-to-date and efficient. Monitor end-of-day price reconciliation processes and investigate pricing and valuation exceptions. Manage vendor relationships, service agreements and market data contracts. Maintain benchmark static data and ensure ongoing accuracy and completeness. Additional Activities Support month-end activities. Assist with the maintenance and governance of instrument classifications. Calculate and validate daily coupon accruals. Participate in projects, initiatives and process improvement activities aimed at increasing operational efficiency and reducing risk. Attributes and Competencies Strong numeric ability and a questioning mind Accuracy and attention to detail A self-starter with the ability to create efficient processes and controls Ability to operate independently as well as in a team environment Interpersonal and communication skills to build and maintain strong working relationships with relevant stakeholders, both internally and externally, and to defend an opinion with rationale and logic Ability to accept responsibility for all tasks done Good time management skills, and the ability to manage heavy workloads and multiple tasks - work flexible hours, particularly in the event of market vendor issues as well as follow a shift work schedule. Excellent analytical and problem-solving skills Very disciplined and methodical style of working Determined, engaged and persistent proactive "can-do" attitude that inspires others to do great work Education and Experience Tertiary qualification. A strong grounding in finance, economics and/or mathematics preferred. e.g. B.Com (Accounting, Economics, Finance, Statistics), B.Bus.Sc (Accounting, Economics, Finance, Statistics). Minimum of 2 years' experience within the asset management or broader financial services industry (institutional and/or retail environments). A history of strong performance Deadline:22nd July,2026

Vacancy posted 25 days ago
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