Fund Accounting with Investment Bank - Hyderabad, India - Skillventory
Description
Fund Accounting with Investment Bank:
- From 8 to 13 year(s) of experience
- Hyderabad/Secunderabad, Bangalore/Bengaluruor
Roles and Responsibilities
Primary Responsibilities:
- Provide Accounting solutions to Hedge Funds for independent valuation, investor transparency and regulatory compliance.
- Calculation of daily NAV.
- Review MSPA to custodian reconciliations. Identify and determine cause. Notify Account Manager of breaks. If break is due to an erroneous or missing transaction in MSPA then make necessary adjustments.
- Perform middle office functions including P&L analysis, daily cash projections, calculations of FX transfers required for funding, checking client's contributions & redemptions etc.
- Review general ledger exceptions. Identify cause and make necessary adjustments.
- Verify performance by reviewing large P&L swings and analyzing income/expense journals for validity.
- Adjust activity as necessary for performance (MSPM) processing and reporting.
- Responsible for accruing daily or monthly nonsecurity related accruals including management fees and financing accruals.
- Process nonautomated transactions including OTC derivatives and their related cash movements.
- Perform daily and monthly securities pricing analysis.
- Validate and process corporate action data.
- Providing audit support and assistance to funds in the preparation on financial statements.
- Assistance with compliance functions.
- Day to day supervision of direct reports in the team.
- Grooming team members.
- Training on clients and processes and troubleshooting/problem solving
- Assisting team members to meet their objectives; provide them with constructive & timely feedback.
- Playing an important role in the appraisal process of goal setting, midyear and year end performance appraisal for the team
- Timely escalation of issues to the senior management.
- Identifying training needs for the team members (Functional as well as Soft Skills)
- Ensuring that the team has appropriate backup in place to manage leaves.
- Formulating the necessary controls in clients and processes to ensure efficient and error free client deliverables.
- Role:_Other
- Salary:_ Not Disclosed by Recruiter
- Industry:_Financial Services
- Department:_Other
- Role Category:_Other
- Employment Type:_Full Time, Permanent
- Key Skills
- Hedge FundsNAVInvestment BankingMiddle OfficeFund AccountingValuationAccount ManagementRegulatory ComplianceEducation
- UG:_Any Graduate
Company Profile:
SKILLVENTORY
- RPO
- Recruiter Name:_Jay Sampat
- Contact Company:_
SKILLVENTORY - Telephone:_
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