Posted By
Posted in
Banking & Finance
Job Code
1416889
Fund Accountant
- NAV calculation and investor allocation.
- Analysis of daily/monthly PNL & NAV.
- Daily cash and position reconciliation between fund and broker/custodian.
- Managing daily operations of entire fund accounting activities for specific clients and ensuring stringent adherence to regulatory requirements.
- Managing Investment operation activities comprising portfolio valuation, multi currency portfolio accounting, income and expense accrual, dividend distribution etc.
- Preparation of Financial Statements as per USGAAP /IFRS
- Independently handling the year end Audit and finalization of Annual Financials.
- To prepare monthly valuations, reconciliations of fund draw downs and distributions, accruals, expenses etc.
- To input double entry bookkeeping to the accounting system.
- To perform cash reconciliation and management for the Funds.
- To prepare drawdown, equalization, distribution and waterfall calculations in accordance with the Fund documentation.
- To prepare Fund investor capital statements as required.
- To prepare Fund and investor IRR calculation as required.
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Posted By
Posted in
Banking & Finance
Job Code
1416889