Fund Accounting Manager

4 hours ago


New Delhi, India Corenza Full time

About the company: A rapidly growing investment management firm specializing in alternative funds, offering customized solutions for investors. Manages fund accounting, NAV computation, portfolio tracking, investor reporting, compliance, audits, fee management, and enhances efficiency through automation.1.Fund Accounting & Reporting • Maintain books of accounts for multiple AIF schemes (Cat II and Cat III) under IGAAP. • Ensure accurate and timely calculation of Net Asset Value (NAV) on a periodic basis (monthly/quarterly as per fund terms). • Track and record income accruals from structured debt instruments (NCDs, CPs, PTCs, securitized receipts, etc.). • Post and reconcile investment transactions, including purchases, redemptions, amortization, mark-ups, and capital gains/losses. • Monitor coupon income, redemption premiums, purchase discounts, and variable cash flows for PTCs and securitized assets.2.Investor-Level Accounting • Maintain detailed investor books including capital contributions, units, class-wise allocations, and fee/waterfall tracking. • Ensure time-weighted allocation of daily income and expenses to investors based on their class and contribution timing. • Process investor calls, distributions, and generate Capital Account Statements. • Handle fee calculations (management fees, performance fees, hurdle, catch-up, etc.) per PPM terms. • Handle expense allocations and calculations as per PPM terms3.Compliance & Regulatory Filings • Ensure timely and accurate filing of: o SEBI monthly/quarterly reports (AIF templates) o Form 64D & 64C under Income Tax o Annual PPM compliance report, valuation reports, and statutory audit disclosures o Other applicable compliances . • Liaise with compliance teams and custodians to ensure adherence to SEBI AIF Regulations and FEMA guidelines, if applicable4.Audit, Taxation & Controls • Coordinate with statutory auditors, internal auditors, and tax advisors for fund-level audits and filings. • Ensure correct TDS computation and filing (Form 26Q, Form 15CA/CB where required). • Reconcile books with custodian/bank statements and investment manager records regularly. • Implement and maintain strong internal controls to ensure accuracy and compliance.5.Systems, Process & Team Management • Lead or support automation initiatives including fund accounting software, Excel based models, macros, and reconciliation tools. • Manage or mentor junior accountants or outsourced service providers. • Prepare dashboards and analytics for the Investment Manager / Fund Manager / Board.Key Skills & Requirements: • M.Com/CMA/MBA Finance with 2+ years of experience in fund accounting, preferably in an AIF, PMS, or AMC. • Sound understanding of: o SEBI AIF Regulations (2012) o Indian accounting standards (IGAAP) o Debt instruments and cash flow-based valuation o NAV computation and investor-level unit accountingSkills: • Strong Excel and Zohobooks/ERP/specialized fund accounting tools knowledge. • Experience in audit, taxation, and regulatory reporting for AIFs. • Excellent analytical, communication, and team management skills. Preferred Experience: • Prior exposure to Category III AIFs with leverage, complex fee structures, or frequent trading. • Experience handling multiple funds across different investor classes with varying fee and distribution structures.



  • New Delhi, India Capitalmind Mutual Fund Full time

    Job Title: Institutional Sales Manager – Mutual FundsCompany: Capitalmind Asset Management Private LimitedLocation: Sector 1, HSR Layout, Bangalore (Work from Office)About Capitalmind:As Capitalmind Asset Management Private Limited, we manage the Capitalmind Mutual fund and have been seeded with capital from its parent and sponsor, Capitalmind Financial...


  • New Delhi, India Capitalmind Mutual Fund Full time

    Job Title : Institutional Sales Manager – Mutual FundsCompany : Capitalmind Asset Management Private LimitedLocation : Sector 1, HSR Layout, Bangalore (Work from Office)About Capitalmind:As Capitalmind Asset Management Private Limited, we manage the Capitalmind Mutual fund and have been seeded with capital from its parent and sponsor, Capitalmind Financial...


  • New Delhi, India Live Connections Full time

    Hiring for Fund Accounting Manager- Location: Pune, Maharashtra, India - Work Mode: Hybrid - Shift Timings: UK Shift, 12:30 pm - 10 pm - Experience: 6+ years (with CA) or 8+ years (without CA) - CTC: Up to ₹35 LPAKey Skills Required - Fund Accounting: Experience in fund accounting and valuation - Private Equity: Knowledge of private equity fund management...


  • New Delhi, India Right Move Full time

    Greetings for the Day!!!We are looking for a Deputy Manager for one of our esteemed clients in Pune having experience into End to End Private Equity Fund Accounting.Exp: 2/5/8/10+ years(Specialist/Team lead/Assistant Manager/Manager)Location: PuneCTC: 20 LPAShift: UK 12:00PM -9:30 PM Work from office onlyDomain-Private Equity Fund AccountingEducational...

  • Fund Accountant

    4 days ago


    New Delhi, India Vivriti Asset Management Full time

    About Vivriti GroupVivriti Group is a trailblazer in the mid-market lending space, offering customized debt solutions to mid-sized enterprises. The group operates through two core businesses: Vivriti Capital Limited: A systematically important Non-Banking Financial Company (NBFC ND-SI) regulated by the Reserve Bank of India (RBI). Vivriti Capital has...


  • New Delhi, India Live Connections Full time

    Qualification: CA with 12 Plus years of experience.Accountable for delivering High – quality fund accounting Services to clients by preparing and reviewing financial statement, NAVs (Monthly & Quarterly),Tax Provisions and accounting packages to ensure accuracy and deliverable deadlines in a dynamic environment.Preparing and reviewing capital account...


  • Delhi, India Corenza Full time

    About the company:A rapidly growing investment management firm specializing in alternative funds, offering customized solutions for investors. Manages fund accounting, NAV computation, portfolio tracking, investor reporting, compliance, audits, fee management, and enhances efficiency through automation.1.Fund Accounting & Reporting• Maintain books of...


  • Delhi, India Selections HR Services Private Limited Full time

    Key Responsibilities:Fund Accounting Operations:- Oversee daily and periodic NAV calculations for assigned funds.- Review and ensure timely preparation of financial statements in accordance with IFRS, US GAAP, or other applicable standards.- Manage accounting for capital calls, distributions, management fees, and carried interest.- Monitor and reconcile...

  • Fund Accounting

    4 days ago


    New Delhi, India Eton Solutions LP Full time

    About the Company Eton Solutions is a hypergrowth fintech transforming the Family Office segment of the Wealth Management industry. Eton’s AtlasFive® is a comprehensive enterprise management platform specifically designed to allow today’s modern Family Office meet the unique and varied challenges of Ultra High Net Worth families. For More details please...

  • Fund Accounting

    2 days ago


    New Delhi, India Eton Solutions LP Full time

    About the Company Eton Solutions is a hypergrowth fintech transforming the Family Office segment of the Wealth Management industry. Eton’s AtlasFive® is a comprehensive enterprise management platform specifically designed to allow today’s modern Family Office meet the unique and varied challenges of Ultra High Net Worth families. For More details please...