JM Financial/Fund Accounting/Mumbai

JM Financial/Fund Accounting/Mumbai

09 Aug
|
IMA India
|
Mumbai

09 Aug

IMA India

Mumbai

4 days left

Employer Acura Solution

Location Mumbai

Posted Aug 07, 2026

Closes Aug 12, 2026

Ref (phone hidden)

Role Accountant / Management Accountant

Level Staff

Certification Other

Work Mode Work from office

Hours Full Time

Organization Type Corporate

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Job Title: Fund Accounting Manager Job Summary The Fund Accounting Manager is responsible for overseeing the accounting, valuation, and financial reporting of investment funds. This role ensures accurate NAV calculations, compliance with regulatory standards, and timely financial statements while managing a team of fund accountants and coordinating with internal and external stakeholders.

Key Responsibilities

- Oversee daily, monthly, and annual Net Asset Value (NAV) calculations
- Ensure accurate fund accounting for mutual funds, hedge funds, PE, and alternative investment vehicles
- Review and approve financial statements, investor reports, and capital account statements
- Ensure compliance with GAAP / IFRS, regulatory requirements, and fund documentation
- Manage period-end close, reconciliations, and variance analysis
- Coordinate with custodians, auditors, administrators, and investment managers
- Monitor fund expenses, accruals, income, and corporate actions
- Lead and mentor a team of fund accountants




- Support audits, regulatory filings, and due diligence requests
- Implement process improvements and automation to enhance accuracy and efficiency

Required Skills & Competencies

- Strong knowledge of fund accounting principles and NAV calculations
- Expertise in GAAP / IFRS and regulatory reporting
- Experience with investment instruments (equities, fixed income, derivatives, alternatives)
- Robust analytical and problem-solving skills
- Excellent stakeholder management and communication abilities
- Team leadership and people management skills
- Proficiency in fund accounting systems (e.g., Geneva, Investran, Yardi, Advent, Multifonds)

Qualifications

- Bachelor’s degree in Accounting, Finance, or Commerce
- Professional qualification such as CA, CPA, ACCA, or CFA (preferred)
- 6-10 years of experience in fund accounting or asset management operations
- Prior experience in a supervisory or managerial role

Key Performance Indicators (KPIs)

- Accuracy and timeliness of NAV delivery
- Audit and regulatory compliance metrics
- Reduction in reconciliation breaks
- Team productivity and quality metrics

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📌 JM Financial/Fund Accounting/Mumbai
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