AAML -Fund Administration Manager

Company Details
Industry: Banking
Description: Absa Bank Limited (Absa) is a wholly owned subsidiary of Barclays Africa Group Limited. Absa offers personal and business banking, credit cards, corporate and investment banking, wealth and investment management as well as bancassurance. Barclays Africa Group Limited is 62.3% owned by Barclays Bank … Absa Bank Limited (Absa) is a wholly owned subsidiary of Barclays Africa Group Limited. Absa offers personal and business banking, credit cards, corporate and investment banking, wealth and investment management as well as bancassurance. Barclays Africa Group Limited is 62.3% owned by Barclays Bank PLC and is listed on the JSE Limited. The Group is one of Africa’s major financial services providers offering personal and business banking, credit cards, corporate and investment banking, wealth and investment management as well as bancassurance. The Group was formed through combining Absa Group Limited and Barclays’ African operations on 31 July 2013. Reflecting the enlarged group’s pan-African focus, the Group's name changed from Absa Group Limited, to Barclays Africa Group Limited on 2 August 2013. Registered head offices are in South Africa and the Group has majority stakes in banks in Botswana, Ghana,Kenya, Mauritius, Mozambique, Seychelles, South Africa, Tanzania (Barclays Bank Tanzania and National Bank of View more View less
Job Details
Job Type: Full Time
Workplace Type: On-site
Qualification: Diploma
Job Experience: Mandatory
Job Location: Nairobi County, Kenya
Closing Date: Undisclosed
Salary: Undisclosed
Other Pay: Benefits
Job Category: Accounting, Audit
Job Description

Job Summary

Fund Administration involves the Management and delivery of back-office services to Absa Asset Management Limited. The Fund Administration Manager is responsible for overseeing the administration and operational aspects of investment funds, ensuring compliance with regulatory requirements, accurate reporting, and efficient management of fund activities. This role acts as a key liaison between internal teams, external service providers, and regulatory bodies to maintain the integrity and performance of the funds.

Job Description

Fund Administration – 40%

  • Maintain accurate records, calculating net asset values, and generating reports for investors, managers, and regulators
  • Track investments, handling trade settlements, and reconciling positions with custodians.
  • Manage investments and redemption requests, distributing capital gains, and communicating with AAML
  • Navigate the complex regulatory landscape applicable to different fund types and ensuring adherence to best practices.
  • Ensure smooth operation and compliance of an entire investment fund.
  • Execute Fund Administration activities including fund accounting, financial reporting, net asset value calculation, capital calls, distributions, investor communications and other functions carried out in support of an investment fund.

Transaction Processing – 40%

  • Ensure overall processing of trade and related transactions
  • Ensure Processing of withdrawals, transfers and switches in a timely manner
  • Ensure Processing of daily corporate actions
  • Preparation and maintenance of client investments, portfolio pricing, net asset value calculation and expense accrual calculations
  • Ensure trade and position break reports are actioned including  daily reconciliations of both assets and cash.
  • Ensure preparation of accurate financial statements
  • Ensure preparation of accurate and timely regulatory reporting
  • Ensure timely tax reporting
  • Computation of performance fees
  • Calculation of the net asset value (daily, weekly, monthly)
  • Ensure distribution is performed timeously
  • Tracking of return of capital and return rates
  • Ensure compliance with anti-money laundering procedures
  • Ensure compliance with internal systems, procedures and processes
  • Any other duties that may from time to time be required which are appropriate to the role and business requirements.

People Management – 10%

  • Team Leadership: Lead and mentor the fund administration team, ensuring adequate training and development of staff.
  • Performance Management: Conduct performance reviews and set clear objectives for team members.
  • Process Improvement: Implement best practices in fund operations and continuously seek process improvements to enhance efficiency and accuracy.

Risk Management – 10%

  • Risk Control: Identify and mitigate risks associated with fund operations, ensuring robust internal controls are in place.
  • Exception Reporting: Investigate and resolve exceptions or discrepancies in fund transactions, working closely with other departments such as IT, risk, and finance.

Knowledge Skills & Experience

  • A good appreciation of the overall Asset management and how they impact on the overall business.
  • A good knowledge of the banks operating systems, processes, and procedures
  • A detailed understanding of Operational risk issues and Policies on Operational risk and information security
  • A good knowledge of Absa Kenya products, service standards and customer requirements
  • Good Understanding of Asset management
  • Good Knowledge of Customer service
  • Leadership Capabilities

Qualifications

  • Bachelor’s Degree & Professional certifications

20 open positions on Semasocial right now · 6729 open positions in Nairobi County, Kenya · 2 posted in the last 7 days
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