Job Description

Job Description

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  • Assist in resolving breaks and in preparation of cash projections or wires
  • Assist in setting up of the Fund and its investments/AIVs/Partners in the system
  • Calculate fees and prepare NAV pack
  • Process capital calls and distributions; prepare waterfall file
  • Prepare and issue Partners’ capital statement (PCAP)
  • Prepare of financial statements (FS) as per US GAAP/IFRS
  • Handling audit / investors’ queries in timely manner
  • Prepare ad hoc / customized reports for fund or investors
  • Provide training to new joiner

Display: (Desired Skills)

  • CA/Inter CA/MBA Finance/CFA/MMS/Postgraduate
  • Relevant experience in fund accounting
  • Sound analytical skills; team player
  • Fair understanding of legal documents and its interpretation
  • Good financial product and financial reporting knowledge
  • Sound accounting knowledge
  • Good communication skills; client orientation
  • Proficient in Microsoft excel, word and power point

Deliver: (Goals)

  • Zero issues in setting up the fund and its static data
  • Zero breaks on NAV date. Monitor the follow-up with internal teams, client or third parties for unresolved breaks
  • Accurate and timely deliverables as per calendar agreed with client
  • Zero issues in IA review / SOC1 certification
  • Zero escalations from client / counterparts
  • No material issues on NAV, FS, PCAP or any other deliverables
  • Zero incidence of re-runs of above deliverables due to SS&C error

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