04 Aug
|
ICICI Prudential Life
|
Maharashtra
04 Aug
ICICI Prudential Life
Maharashtra
- Internal employees at level 5, 6, 7 can apply
- External employees with relevant experience as per the below JD -
Fund accounting
Purpose / key objective of role Calculation and publishing NAV
Preparations of reports and schedules
Communicating with internal team and stake holders
Ensuring accuracy and compliance in the functions stated below
Ensuring accurate and timely calculations for NAV on a daily basis
Having a basic understanding on concepts related to derivatives and their accounting methodology
Preparing and reviewing Fund Accounting-related financial reports, investment schedules, IFRS reports and disclosures for internal and external stakeholders
Staying updated with relevant financial regulations and accounting standards and ensuring compliance with regulatory/accounting requirements
Coordinating and reconciling custody and investment bank account related transactions between different portfolios within the organisation
Developing and maintaining Fund Accounting policies and procedures to ensure effective controls and governance
Disclaimer: This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.
📌 Sr. Manager- I - FINANCE SC (Maharashtra)
🏢 ICICI Prudential Life
📍 Maharashtra