Job Description

Role: Private Equity Fund Manager

Location: Hyderabad/Gurugram


Qualifications:

  • RSM seeks to hire individuals who are highly motivated, intelligent and have demonstrated excellence in prior endeavors.
  • 8+ years of Big 4 or national accounting firms fund accounting experience in the private equity industry .
  • Ability to interpret/applying the financial and operational terms of Limited Partnership Agreements for private equity funds.
  • Undergraduate degree in accounting.
  • CPA and/or CA preferred.
  • Proficient knowledge of Microsoft Office Suite (Excel, Word, PowerPoint).
  • Allvue knowledge a large PLUS!
  • Proficient knowledge of fund accounting software (Investran, E-Front, etc.).
  • Strong analytical skills, detail oriented and highly organized.
  • Possesses a strong work ethic, personal and professional integrity, and a positive attitude.
  • Strong oral and written communication and influencing skills.
  • Ability to work in a dynamic, fast‐paced environment and handle multiple projects.


Specific Responsibilities:

  • Prepare quarterly and annual financial statements, financial statement footnotes, quarterly accounting workpaper packages and investor reporting packages
  • Prepare/facilitate the day-to-day operating activities for private equity and real estate fund administration clients, including cash management, wire setup, management fees, carried interest/waterfall calculations, subsequent closes, credit facility maintenance, deal funding, and expense payments
  • Become an expert user in the firm’s fund administration technology platform
  • Assist with onboarding new clients, setting up the firm’s investors, investments, new reports, LP reporting portal, etc.
  • Prepare / facilitate capital calls and distribution calculations and execute these processes in the technology platform
  • Maintain and update investor data as needed
  • Respond to adhoc inquiries from clients and limited partners
  • Coordinate with the clients’ external auditors and tax providers to assist with the year end audits and tax return information that is needed
  • Once established help to train other new/junior level staff members

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