• Strong knowledge of NAV calculation, expense processing, and fund accounting.
• Experience in Mutual Funds, Hedge Funds, Fund Services, and Financial Markets.
• Hands-on experience in reconciliation and exception management.
• Valuable understanding of expense calculations and financial reporting processes.
• Strong analytical, problem-solving, and communication skills.
• Ability to work in SLA-driven environments and manage multiple priorities.
• Experience handling operational queries, escalations, and stakeholder communications.
Key Responsibilities:
• Perform NAV-related activities and expense calculations accurately within SLA timelines.
• Manage exceptions and drive timely resolution of discrepancies.
• Handle reconciliations and ensure service delivery standards are met.
• Monitor group mailboxes and respond to queries within agreed SLAs.
• Escalate issues, delays, and risks in line with corporate policies and procedures.
• Support daily work allocation and monitor team deliverables.
• Act as a Subject Matter Expert (SME) and provide guidance to team members.
• Prepare MIS reports, metrics, and ensure accurate end-of-day processing.
• Maintain operational controls, checklists, and process documentation.
Kindly Note: NO Relocation allowed/experience level only 3-6 years only / If you are interested and if the above position is matching to your experience kindly attach the Resume in document format with notice period duration
Skills: Hedge Fund, Fund, Nav Calculation, Mutual Fund
Experience: 3.00-6.00 Years
📌 Fund Operations (Mumbai)
🏢 Artech Infosystems Private
📍 Mumbai
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