Posted By
Posted in
Banking & Finance
Job Code
1330194
- Co-ordinating and liaising with the Fund Administrator, Auditor, Custodian, Bank, etc. for providing relevant information, reviewing and approving accounts, statements, and notices across all the 3 funds.
- Co-ordinate with the Fund Administrator, Auditor & Tax Consultants, Regulator, etc. for various matters pertaining to the Fund for accounting, tax, company, etc. perspective.
- Track and maintain the relevant records and calculations of the funds - management fees, expenses invoice, NAV calculation, distribution of capital, cash flow management, etc.
- Performing timely reconciliations of the funds/client's books with that of various fund accounting & custody reports and taking appropriate actions in case of emergence of any discrepancies.
- Tracking and monitoring changes in regulations, directives, and circulars from tax, accounts, SEBI, and company law perspectives to ensure that the funds and the firm's practices and policies remain up-to- date and compliant.
- Resolve clients' as well as internal team queries pertaining to accounts and taxation.
- Ensure meeting compliance with all internal organizational and business policies to ensure that all transactions/activities are performed as per the defined SOP.
- Follow a close checklist approach to ensure effective coordination amongst all stakeholders.
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Posted By
Posted in
Banking & Finance
Job Code
1330194