Job Description :
- Computing NAV for Debt / Equity Funds
- Settlement of debt / Equity deals - bonds/ Gsec /CD/CP- s/shares/derivatives etc.
- Coordinating with custodians, brokers and counter parties
- Coordinating with the Fund Management team / Treasury, compliance and other related Departments
- Valuation of Securities
- Regulatory / monthly Reporting
- NAV and Fund Accounting
- Liaising with the auditors - both internal and statutory :
a. Declaration of daily NAVs and ensuring their correctness.
b. Preparation of half-yearly and annual financial statements
c. Dealing with Statutory, Internal and management Auditors.
- Recommending system enhancements and testing the same.
- Preparation of cash flow statements
Exp : CA/Graduate with 5-7 years relevant experience in Cash flow preparation, handling Investment accounting and / or NAV declaration or even experience in Internal controls would work for the role.
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