Manager - Fund Accounting (Noida)

Manager - Fund Accounting (Noida)

14 Aug
|
Indus Valley Partners
|
Noida

14 Aug

Indus Valley Partners

Noida

Managerial Activities

- Lead, mentor, and manage a team of fund accountants and operations associates in executing daily fund accounting and operational activities for clients.
- Manage client relationships, address escalations, resolve operational issues and queries, and provide effective solutions in a timely manner.
- Ensure achievement of defined KPIs and KRAs while maintaining high service quality standards.
- Train current joiners and oversee the day-to-day activities of fund accounting associates through regular review, monitoring, and validation of work.
- Liaise with auditors during SOC audit engagements and support audit-related requirements.
- Support talent acquisition initiatives, including hiring, onboarding, and team management.

Core Activities

- Prepare monthly financial reporting packages for Private Credit Funds, including Net Asset Value (NAV) calculations, Statements of Assets & Liabilities, and Profit & Loss Statements.
- Develop hands-on expertise in resolving client and team queries related to fund accounting and operations.
- Manage daily reconciliations between the IVP Accounting tool and Custodian/Prime Broker records.
- Ensure accurate accrual of fund income and expenses, including management and performance fees, in compliance with applicable accounting standards.
- Process all capital activities accurately and within timelines, including subscriptions, redemptions, transfers, roll-ups, capital commitments,



and capital calls.
- Manage daily cash flows related to trades and monitor overall fund liquidity and cash positions.
- Prepare investor and client reports, including audit confirmations, trade confirmations, and other reporting requirements.
- Communicate fund-related transactions effectively and collaborate closely with internal and external stakeholders to deliver accurate accounting packages.
- Assist with new client onboarding and implementation activities.
- Provide functional support for client configurations and data loading processes.
- Experience with Geneva/VPM will be an added advantage.
- Prior exposure to Private Credit operations will be preferred.
- Solid analytical and problem-solving skills with the ability to learn quickly.
- Excellent verbal and written communication skills.
- Ability to quickly understand concepts and grasp details with minimal supervision or information.
- Good understanding of the financial services domain, key market participants, and current market trends/scenarios.
- Strong knowledge of financial instruments and investment products.
- Comprehensive understanding of fund accounting processes, including trade booking, cash reporting, exception analysis, asset and cash reconciliations, and resolution of post-pricing issues.
- Advanced proficiency in MS Excel, MS PowerPoint, and MS Word.

📌 Manager - Fund Accounting (Noida)
🏢 Indus Valley Partners
📍 Noida

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