Job Description

We’re Hiring | Fund Accounting Operations


Role: Fund Accounting Operations


Key Responsibilities :


• Perform daily fund accounting activities including NAV calculation, pricing, and validation of portfolio holdings

• Ensure accurate booking of trades, income, expenses, accruals, and corporate actions

• Reconcile cash, positions, and NAV between internal systems and custodians/administrators

• Review and investigate breaks, variances, and exceptions, ensuring timely resolution

• Prepare and review fund financial statements, trial balances, and supporting schedules

• Coordinate with internal teams such as Middle Office, Custody, Compliance, Risk, and Technology

• Respond to client, auditor, and regulatory queries in a timely and professional manner

• Support month-end, quarter-end, and year-end close processes

• Identify opportunities for process improvements, automation, and operational efficiency

• Ensure strong adherence to controls, procedures, and risk management frameworks


Key Skills :

• Strong understanding of fund accounting concepts, NAV processes, and asset classes

• Knowledge of equities, fixed income, derivatives, AIFs, or alternative investments

• High attention to detail with strong analytical and problem-solving skills

• Proficiency in MS Excel

• Effective communication and stakeholder management skills


Qualifications & Experience :

• Bachelor’s degree in Commerce, Finance, Accounting, or a related field

• 1–2 years of relevant experience in Fund Accounting / Asset Servicing / Custody Operations


Regards,

Team HR

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