Investment Relations & Fund Manager / Distribution
ExecutivePlacements.com
Recruiter
MECS Africa
Job Ref
JHB012639/KR
Date posted
Tuesday, July 21, 2026
Location
Johannesburg, South Africa
SUMMARY
Join a fast-growing investment firm that develops, owns, and manages long-term infrastructure assets across South Africa. We are seeking a dynamic
Investment Relations & Fund Manager / Distribution professional to drive retail capital raising, build and manage relationships with financial advisers and investors, oversee the investor onboarding journey, and support the growth of the fund through exceptional client engagement and distribution initiatives. This is an exciting opportunity to join a high-performing team, gain exposure to capital markets, and accelerate your career while benefiting from a competitive salary, a lucrative commission structure, and a hybrid working model.
POSITION INFO
Responsibilities Investor Relations Serve as the primary point of contact for IFAs, wealth managers, tax practitioners, and direct HNW investors. Handle inbound queries on fund structure, investment mechanics, tax treatment, and returns - timing, accuracy, and professionalism are important. Manage LP onboarding end-to-end: FICA, subscription documents, SARS confirmations, and post-investment correspondence. Proactively communicate fund updates, deployment milestones, and any material developments to investors. Distribution Support Support IFA and intermediary outreach by preparing tailored pitch materials, scheduling meetings, and following up after presentations. Attend investor events, roadshows, and adviser briefings; contribute to or lead group presentations as required. Build and maintain strong working relationships with key distribution partners. Pipeline & Administration Maintain CRM and pipeline tracker with zero missed follow-ups or outstanding items. Track intermediary engagement, investor commitments, and subscription status across all channels. Coordinate with fund administration on documentation workflows and compliance requirements. Prepare weekly pipeline reports and capital raise status updates. Ensure no email, callback, or commitment falls through the cracks. Materials & Presentations Prepare investor presentations, fund documentation, one-pagers, and updated slide decks. Maintain accurate, current versions of all fund documentation and ensure consistency across channels. Assist with LP communications, quarterly updates, and ad hoc investor letters. Fund Raise Operations Flag risks, delays, or investor concerns to the CFO early and proactively. Manage workload independently under tight deadlines. Direct-to-Market Channel Build Lead the build-out of a direct-to-market investor acquisition channel, reducing reliance on third-party intermediaries over time. Own the direct investor journey end-to-end, from first enquiry through FICA, subscription, and funding, with the same rigour applied to intermediary-sourced investors. Track direct-channel performance separately from intermediary channels to provide clear reporting on unit economics and channel mix over time. Operational Infrastructure for Onboarding & Channel Management Build and own the systems (CRM, pipeline tracker, document workflows) required to onboard and manage both investors and distribution channels at scale. Standardise onboarding workflows across channels, including FICA, subscription documentation, and SARS confirmation, ensuring consistency and reducing reliance on institutional knowledge. Requirements Essential 3-7 years' experience in financial services, including asset management, wealth management, private equity, investment banking, or a specialist fund environment. Direct investor or client-facing experience within a professional financial services environment. Tertiary qualification in Finance, Investments, Accounting, or a related field (BCom or equivalent minimum). Exceptional written and verbal communication skills, with the ability to simplify complex concepts for sophisticated investors. Proficiency in PowerPoint and Excel, with the ability to prepare high-quality presentation materials independently. Demonstrated track record of managing high volumes of investor or client correspondence with a high degree of accuracy. Advantageous Strong working knowledge of investment products, fund structures, and tax-efficient investment vehicles. Experience with structured tax investment products. Exposure to partnership structures, SPVs, or infrastructure and alternative investment funds. CFA, CFP, or postgraduate finance qualification. Existing network within the IFA, wealth management, or tax advisory community in South Africa.
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