30 Jul
|
Qode Advisors
|
Mumbai
30 Jul
Qode Advisors
Mumbai
Role Overview
We are looking for a detail-oriented Fund Accounting Analyst to manage custody operations, reconciliations, fund accounting, client transactions, and operational reporting for our Portfolio Management Services.
Key Responsibilities
Custody & Reconciliation
- Monitor daily custodian feeds for trades, holdings, and cash movements.
Perform daily reconciliation of securities, cash balances, corporate actions, and fund movements.
Resolve reconciliation breaks with custodians, brokers, and counterparties.
Ensure timely trade settlements and smooth fund flows.
Fund Accounting
- Validate daily NAV, MTM valuations, expense accruals, and corporate action accounting.
Reconcile broker trades, custodian positions, cash balances, and collateral balances.
Review brokerage, management fees, statutory charges, and other expense allocations.
Investigate discrepancies, perform root cause analysis, and ensure timely closure.
Operations & Reporting
- Process client transactions including top-ups, withdrawals, and strategy switches.
Prepare client reports, operational MIS, and regulatory reports.
Maintain operational SOPs and drive continuous process improvements.
Skills & Qualifications
- Graduate/Postgraduate in Finance, Commerce, or related field.
0 - 5 years of experience in PMS, AIF, Custodian, Fund Accounting, Mutual Funds, or Capital Market Operations.
Solid understanding of custody operations, reconciliations, settlements, and fund accounting.
Should be well-versed with Wealth Spectrum
Excellent MS Excel skills; experience with fund accounting or portfolio management systems is preferred.
Strong analytical ability, attention to detail, and problem-solving skills.
Ability to manage multiple priorities in a rapid-paced workplace.
📌 Fund Accounting Analyst Mumbai
🏢 Qode Advisors
📍 Mumbai