Role Description
The client, a private investment firm, is seeking an experienced Interim Financial Controller to support the fundβs back-office finance function during a critical year-end and reporting period. The role will work closely with fund leadership and a third-party CFO service provider, with a clear mandate to deliver quarterly and year-end reporting, resolve statutory issues, and establish repeatable finance processes. The engagement is time-bound and execution-focused, with a clear emphasis on delivery rather than long-term finance leadership responsibilities.
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Deliver quarterly financial reports, including coordination of inputs, validation of data, and production of decision-ready outputs.
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Lead delivery of year-end financial reporting, including preparation of financial statements and coordination with auditors.
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Ensure reporting outputs are accurate, timely, and aligned with fund leadership requirements.
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Resolve outstanding statutory and tax registration issues and unblock delayed filings.
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Ensure ongoing compliance with relevant statutory, tax, and regulatory requirements.
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Coordinate statutory submissions and regulatory interactions as required.
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Establish and maintain a clear reporting and compliance calendar covering quarterly reporting, statutory filings, and year-end activities.
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Establish a repeatable quarterly and annual reporting cadence, templates, and timelines.
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Design and document core finance processes, controls, and handover materials.
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Clarify roles, responsibilities, and handoffs across reporting and compliance activities to reduce dependency risk and execution friction.
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Act as the day-to-day integrator between fund leadership, the third-party CFO service provider, and the fund administrator.
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Manage timelines, inputs, and outputs across all finance service providers.
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Provide hands-on oversight of the general ledger, trial balance, and supporting schedules.
Qualifications
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8+ years experience in financial control, fund finance, or a closely related role.
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Prior exposure to private equity or investment fund environments strongly preferred.
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Experience working in African markets, including familiarity with local regulatory, tax, and operating environments, is advantageous.
Requirements
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Professionally qualified accountant (e.g. CA(SA), ACCA, CPA, or equivalent) preferred.
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Strong working knowledge of South African statutory, tax, and compliance requirements.
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Hands-on experience with Xero (or similar accounting platforms).
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Ability to diagnose finance and compliance issues quickly and drive resolution independently.
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Prior audit-trained background or experience working closely with external auditors is an advantage.
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Strong ownership mindset with accountability for end-to-end delivery.
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Comfortable operating in ambiguous, fast-moving environments with multiple stakeholders.
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Confident working with senior leadership and external service providers.
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Highly organised, with the ability to manage parallel reporting, compliance, and coordination workstreams.
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Clear, structured communicator able to translate complex finance topics into practical implications.
Working Arrangement
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Location: Remote, with availability during local business hours
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Travel: Minimal
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Start Date: Immediately
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Contracting Period: 4-6 months, full-time