07 Aug
|
TMF Group
|
Pune
Role & responsibilities:
Fund Accounting & Reporting
Maintain general ledger and perform daily, monthly, and quarterly accounting for Private Equity funds.
Prepare NAV calculations, investor allocations, and capital account statements.
Ensure accurate recording of capital calls, distributions, management fees, and carried interest.
Financial Statements & Compliance
Prepare quarterly and annual financial statements in accordance with IFRS/US GAAP.
Coordinate with auditors for year-end audits and resolve queries promptly.
Ensure compliance with local regulations and client-specific requirements.
Investor Reporting
Prepare investor reports, capital call notices, and distribution notices.
Maintain investor records and respond to investor queries in a timely manner.
Cash Management
Review payment, payment templates and approve payments
Monitor cash positions and process payments related to investments, fees, and expenses.
Reconcile bank accounts and investment positions regularly.
Process Improvement & Controls
Assist in implementing best practices and improving operational efficiency.
Ensure solid internal controls and adherence to policies.
Preferred candidate profile:
Education:
Qualified qualification (CA, CPA, ACCA) preferred.
Experience:
3 to 5 years of experience in fund accounting, preferably in Private Equity or Alternative Investments.
Familiarity with partnership accounting and waterfall calculations.
Technical Skills:
Proficiency in accounting systems like Investran, eFront, and Yardi.
Knowledge of IFRS/US GAAP and Private Equity fund structures.
Soft Skills:
Provide functional guidance to fund accountants
Robust analytical and problem-solving skills.
Excellent communication and interpersonal skills.
Ability to work under pressure and meet deadlines.
📌 Fund Accountant Private Equity Pune
🏢 TMF Group
📍 Pune