24 Sep
|
Sira Alternatives
|
Mumbai
24 Sep
Sira Alternatives
Mumbai
SIRA ALTERNATIVES · SEBI CATEGORY II AIF
Fund Accounting & Compliance
Manager / Senior Manager · Mid-to-Senior
About Sira Alternatives: Sira Alternatives is an AI-native alternatives firm establishing a SEBI Category II AIF — target corpus ₹1,250 crore, with a substantial anchor commitment from the founding team — to provide bespoke, high-conviction credit to India's high-growth mid-market, where traditional financing falls short. We back businesses with strong promoters, clear exit paths and a need for patient, structured capital. Sector agnostic, with a preference for healthcare & pharma, the data center value chain, education, sustainability and industrials.
Our DNA is in large, complex transactions where management has to actively create equity value — through operational improvement, strategic consolidation, or a well-executed transition to public markets.
Position
Manager / Senior Manager – Fund Accounting & Compliance
Function
Finance · Fund Accounting · Regulatory Compliance
Level
Mid-to-Senior individual contributor (with scope to build a team)
Reporting to
Finance leadership / Managing Partner
Location
Bandra Kurla Complex (BKC), Mumbai
Qualification
Chartered Accountant (ICAI), qualified. Additional qualification of CS preferable
Experience
Minimum 7 years in fund accounting of AIFs in India
Compensation
Competitive; commensurate with experience THE ROLE
As the fund scales, we are seeking a qualified senior individual to own the fund accounting and regulatory compliance function end-to-end — from books and NAV through financial reporting, audit, taxation and SEBI compliance. This is a hands-on, high-ownership role in a lean, fast-moving environment, with clear scope to shape processes and controls and to build a team over time.
KEY RESPONSIBILITIES
Fund Accounting & NAV
- Own end-to-end fund accounting for the AIF and its schemes, maintaining books of account in line with Ind AS and the fund's accounting policies.
- Prepare, review and finalize periodic NAV computations; validate portfolio valuations, income and interest accruals,
fee accruals and expense allocations.
- Maintain investment registers, investor capital accounts and capital-account statements; account for drawdowns, investments and distributions across instruments (structured credit and growth).
- Compute and review management fees, hurdle/carry and performance-fee mechanics, and distribution waterfalls.
Financial Reporting & Audit
- Prepare quarterly and annual financial statements of the fund and trust, and supporting schedules and management MIS/dashboards.
- Own the annual PPM compliance audit and coordinate statutory, internal and tax audits; act as primary liaison with auditors and close observations.
- Prepare Quarterly Compliance Reports (QCR), trustee reports and periodic returns with accuracy and on time.
Regulatory & SEBI Compliance
- Ensure ongoing compliance with the SEBI (AIF) Regulations, 2012, the PPM, Trust Deed, Investment Management and Contribution Agreements and other fund documents.
- Maintain the compliance calendar and prepare/file periodic regulatory reporting and filings with SEBI and other authorities as applicable.
- Monitor investment conditions and restrictions (investment limits, concentration, tenure, leverage) and proactively flag potential breaches.
- Support KYC / AML / CFT obligations for investors and coordinate with legal counsel and compliance advisors on regulatory developments.
Taxation
- Manage fund- and investor-level taxation, including income characterization, withholding-tax and issuance of investor tax statements (Form 64C / 64D, as applicable under the pass-through regime).
- Coordinate income-tax filings, TDS and GST compliance as applicable to the fund and manager.
Investor Operations & Reporting
- Support capital calls and drawdown notices,
distribution computations and periodic investor statements and reporting.
- Respond to LP and investor queries on accounting, tax and compliance matters with accuracy and professionalism.
Service Providers, Controls & Process
- Manage relationships with fund administrators, custodians, RTAs, bankers, tax advisors and auditors; oversee outsourced deliverables and controls.
- Establish and continuously improve accounting processes, SOPs and internal controls; drive automation of NAV, reconciliation and reporting workflows.
- Support new scheme/fund launch — account opening, service-provider onboarding and design of operational flows and controls.
QUALIFICATIONS & EXPERIENCE:
- Chartered Accountant (ICAI), qualified — solid academic record preferred. Company Secretary as an additional qualification (preferable).
- Minimum 7 years' experience in fund accounting of Alternative Investment Funds (AIFs) in India, ideally across Category I and/or II funds.
- Hands-on experience with NAV computation, fund financial statements, SEBI AIF regulatory reporting and audit coordination.
- Working knowledge of Ind AS, the SEBI (AIF) Regulations and income-tax provisions relevant to AIFs (including the section 115UB pass-through regime).
TECHNICAL SKILLS:
- Strong command of fund-accounting principles, Ind AS and the AIF regulatory framework.
- Proficiency with fund administration / accounting systems (e.g., Geneva or equivalent) and advanced MS Excel; familiarity with reporting automation an advantage.
- Sound understanding of capital calls, drawdowns, distribution waterfalls, and management- and performance-fee computation.
WHAT WE'RE LOOKING FOR:
- High ownership, precision and a control mindset — comfortable being accountable for the numbers.
- Strong stakeholder management and clear written and verbal communication.
- Adaptable and hands-on, able to thrive in a lean, entrepreneurial fund-launch environment.
- A builder — able to set up processes now and mentor a small team as the fund scales.
📌 Senior Manager - Fund Accounting & Compliance (Mumbai)
🏢 Sira Alternatives
📍 Mumbai