Description
Roles & Responsibilities:
- Calculate Net Asset Value (“NAV”), carried interest / performance fees, investor allocations for capital calls, distributions and equalizations; and prepare / review the associated reports and statements
- Maintain accurate accounting books and records; monitor cash and investment transactions, and reconcile regularly
- Prepare financial statements; coordinate annual audits and manage communication with auditors
- Provide high quality day-to-day fund administration services
- Support addressing requests and queries from clients and any fund participants
- Ensure compliance with policies, procedures, accounting standards, and regulatory requirements
- Support payment process and monitoring
- Report any business issues to your supervisor in timely manner
- Support the implementation of new processes and procedures within the team
- Collaborates across teams to address client needs and provide solutions
- Participate in any ad hoc tasks/projects assigned by your supervisor
Your Profile:
- University degree in accounting or business-related disciplines
- Qualified certification such as CPA or equivalent is a plus
- Minimum 1 to 3 years’ accounting experience is preferred, particularly in fund administration or asset management
- Auditor experience with a background in fund accounting is welcome
- Experience in Limited Partnership accounting is a plus
- Ability to work under pressure and meet a range of deadlines
- Self-motivated and proactive in managing tasks; and collaborating effectively with remote team members
- Excellent time management and client servicing skills
- Positive attitude and able to adapt to new challenges
- Strong communication and teamwork abilities
- Good written and verbal communication skills in English
- Proficiency in Microsoft Office applications and accounting software in Investran /Geneva will be an advantage
📌 Fund Accountant (Bengaluru)
🏢 CSC
📍 Bengaluru