10 Sep
|
Fundtec
|
Raipur
Job Description
Key Responsibilities:
n
n
Fund Accounting: Maintain accurate books and records for investment funds, reconcile daily transactions, calculate Net Asset Value (NAV), and record fund income and expenses.
n
Financial Reporting: Assist in the preparation of financial statements, investor reports, and regulatory filings in a timely and accurate manner.
n
Asset Valuation: Contribute to the valuation of fund assets and ensure pricing accuracy across portfolios.
n
Portfolio Reconciliation: Reconcile fund portfolios with bank, broker, and custodian records to ensure data accuracy.
n
Regulatory Compliance: Help ensure all fund activities adhere to applicable regulations and assist in the preparation of compliance reports.
n
n
Qualifications:
n
n
CMA - Qualified
n
Effective communication and interpersonal skills.
n
Familiarity with private equity or hedge fund accounting is a plus.
n
Proficiency in MS Excel; experience with fund accounting software is an advantage.
n
n
n
Location - Raipur (Onsite)
n
Work Schedule - Monday to Friday
n
Shift - 12 PM - 09 PM IST
n
n
Advantages -
n
n
Health & Life Insurance
n
Provident Fund
n
Gratuity
n
Performance Appraisal
n
Performance Bonus
n
n
n
Salary -
n
n
3.6 to 4.30 LPA
n
📌 Cma Freshers Fund Accountant Raipur
🏢 Fundtec
📍 Raipur