Real Estate Private Assets – Fund Accounting
Role Summary
Support accounting and reconciliation activities for real estate private asset funds, NAV package review, ensuring accuracy across cash, investment, and general ledger balances.
Key Responsibilities
• Perform independent NAV reviews, wire preparation, treasury template
• Perform cash, position, and GL reconciliations and investigate breaks.
• Support real estate asset accounting including acquisitions, rental income, expenses, and financing.
• Reconcile bank accounts, capital calls, and distributions.
• Assist in NAV and investor reporting validation.
• Maintain reconciliation logs and support process automation and improvements.
• Coordinate with fund accounting, administrators,
custodians, and treasury teams.
Requirements
• Degree in Finance / Accounting / Commerce.
• 3–10 years’ experience in fund accounting, asset servicing, or private markets operations.
• Robust Excel and reconciliation skills.
• Knowledge of real estate or private equity fund structures preferred
Typical Systems Exposure
• Fund accounting platforms (e.g., Investran, Yardi, eFront, Geneva)
• Custodian data feeds
• Reconciliation platforms
• Excel / VBA automation tools
📌 Senior Research Analyst (Mumbai)
🏢 Crisil
📍 Mumbai