Key Responsibilities:
- Fund Accounting: Maintain accurate records, reconcile transactions, calculate Net Asset Value (NAV), and record income and expenses.
- Financial Reporting: Prepare financial statements, investor reports, and regulatory filings.
- Performance Measurement: Analyze fund performance and prepare performance reports.
- Valuation: Value fund assets and ensure accurate pricing.
- Portfolio Reconciliation: Reconcile the portfolio with banks and brokers.
- Investor Relations: Address investor inquiries and assist with onboarding.
- Compliance: Ensure regulatory compliance and submit required reports.
- Technology and Systems: Use financial software and assist with system implementations.
- Audits and Taxation: Prepare for audits and collaborate on tax reporting.
- Process Improvement: Identify ways to streamline operations.
- Risk Management: Monitor and report operational and financial risks.
- Team Collaboration: Work closely with finance and operations teams.
Qualifications:
- Need a degree in Accounting, Finance, or something related.
- Should have experience in investment or fund accounting.
- Really good at looking closely and finding details.
- Good in coordinating with clients and working with a team.
- Knowing about private equity or hedge fund accounting is extra good.
Job Types: Full-time, Permanent
Pay: ₹800,000.00 - ₹1,200,000.00 per year
Benefits:
- Health insurance
- Paid sick time
- Paid time off
- Work from home
Application Question(s):
- Are you available to join immediately?
Experience:
- total work: 5 years (Required)
- Fund Accounting: 4 years (Required)
Language:
Work Location: In person