Associate/Sr Associate Fund Operations-Fund/NAV Oversight
4 days ago
The Associate / Senior Associate will support the Fund Oversight team in monitoring and managing NAV (Net Asset Value) production processes. This role involves reviewing NAV outputs, income distributions, share dealing activities, and error resolution to ensure accuracy, compliance, and timely reporting. The position requires strong analytical skills, attention to detail, and a solid understanding of fund accounting principles. Key Responsibilities: NAV Oversight: Perform initial review of daily NAV oversight output and escalate verified exceptions. Liaise with administrators on NAV queries and dilution adjustments. Review cash/asset breaks and performance fees. Prepare oversight files and maintain supporting documentation. Income Distributions & Share Dealing: Review income distribution/dividend calculations and approvals. Liaise with stakeholders to resolve queries and coordinate waiver decisions. Support approval of share dealing activities and maintain compliance records. Error/Incident Management: Investigate and resolve errors/incidents promptly. Liaise with depositaries and administrators for resolution and compensation calculations. Maintain accurate logs and documentation for oversight. Reporting & Data Activities: Manage daily NAV file receipts and prepare NAV oversight reports (liquid and illiquid). Prepare weekly cash/asset break reports and performance fee checks. Collate and store information for audits and internal reviews. ESSENTIAL DUTIES AND RESPONSIBILITIES: Maintain and exemplify a joined-up oversight program overseeing fund administrators, depositaries and where necessary investment managers. Review of Service Level Agreements to ensure deliverables adequately described. Attendance of administrator service reviews Engage in the key Net Asset Value oversight for underlying funds, which includes: Validating NAVs produced by Fund Administrators Review of individual asset valuations to ensure compliance with WMC Valuation Policy Fund Budget creation, review and on-going supervision of costs Ongoing analysis of total expense ratios, fee accruals and invoicing process Assist on the valuation process for funds and SPVs, drafting and implementing valuation policies, updating policies on a periodic basis and in step with developments, supervising on-going valuations in accordance with policies and escalating issues and observations to the Valuation Committee. Collaborate closely on a regular basis with service providers (including Company Secretaries, Administrators, Auditors, and Investment Managers) to monitor service levels of delegates. Process LEI and ISIN requests for new funds and annual renewals for existing funds. To help in the winddown and liquidation process for the funds closing. Liaise closely with the various internal teams, covering Operations, Compliance, Relationship and Risk teams to evaluate the financial risks and operational risks of each client on an on-going basis, resolving and escalating to the Director as appropriate. Keep abreast of regulatory changes in the UK and EU Markets. Aspire to be the technical expert in UCITS and AIFs. Actively participate in meetings, prepare, and attend technical training. Assist colleagues with completion of fund factsheets and other ad hoc projects. Foster positive team environment and ensure open communication. Communicate with stakeholders to ensure satisfaction with the service provided and to resolve any potential issues. EXPERIENCE: min 2 years years’ experience within financial services, preferably within funds. Strong networking skills and adept at building relationships. Knowledge of NAV production and/or financial reporting (desirable). Must be able to work in a fast-paced environment, including reporting and providing support to various members of the team. Outstanding time management, organizational skills, oral/written communication skills, critical thinking and attention to detail are required. Strong MS Office and Analytic Skills; mid-level information management software experience required.
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Mumbai, India Riverforest Connections Private Limited Full timeThe Associate / Senior Associate will support the Fund Oversight team in monitoring and managing valuation processes for investment funds. This role involves reviewing fair value reports, stale pricing, pricing matrices, and valuation exceptions to ensure accuracy, compliance, and timely reporting. The position requires strong analytical skills, attention to...
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Mumbai, India Riverforest Connections Private Limited Full timeThe Associate / Senior Associate will be part of the Fund Oversight team responsible for monitoring and managing fund cost and budget processes. This role ensures accurate review, reporting, and compliance across fund expense budgets, TER (Total Expense Ratio), and fund viability assessments. The position requires strong analytical skills, attention to...
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Mumbai, India Riverforest Connections Private Limited Full timeThe Associate / Senior Associate will support the Fund Oversight team in managing service operations for investment funds. This role involves oversight of fund closures, liquidations, launches, connected party transactions, and operational queries. The position requires strong analytical skills, attention to detail, and a solid understanding of fund...
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Mumbai, Maharashtra, India Riverforest Connections Full timeThe Associate Senior Associate will be part of the Fund Oversight team responsible for monitoring and managing fund cost and budget processes This role ensures accurate review reporting and compliance across fund expense budgets TER Total Expense Ratio and fund viability assessments The position requires strong analytical skills attention to detail and a...
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Fund Operations Associate
2 weeks ago
Mumbai, India HSS ASSET MANAGEMENT Full timeAbout the Role:- We are seeking a detail-oriented and proactive professional to join our Alternative Investment Fund (AIF) team as a Fund Operations Associate. This role is pivotal in ensuring smooth day-to-day functioning of fund operations, regulatory compliance with SEBI norms, and coordination between fund managers, custodians, administrators, investors,...
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Fund Accountant
8 hours ago
Mumbai, Maharashtra, India Seventh Edge Consulting Services Full timeSkills Required: networking skills, fund operations, NAV, NAV Oversight, NAV production, PPM, Fund Documentation, Fund Budget, Fund Viability, Private Equity, NAV, Hedge Fund, Mutual Fund, Budget Updates, NAV production.(UK & EU Region is not mandate. Open for all regions, candidate should be strong)
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Senior Associate
1 week ago
Mumbai, India Qode Full timeRole Overview: We are looking for a detail-oriented Senior Associate - Fund Operations to manage client onboarding, reconciliation, custody operations, fund accounting and reporting functions for our Portfolio Management Services. Key Responsibilities : Client Onboarding & Account Management Manage end-to-end account opening for PMS Investors (Individual,...
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Senior Associate
1 week ago
Mumbai, India Qode Full timeJob Description Role Overview: We are looking for a detail-oriented Senior Associate - Fund Operations to manage client onboarding, reconciliation, custody operations, fund accounting and reporting functions for our Portfolio Management Services. Key Responsibilities : Client Onboarding & Account Management Manage end-to-end account opening for PMS...
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Senior Associate
2 weeks ago
Mumbai, India Qode Full timeJob Description Role Overview: We are looking for a detail-oriented Senior Associate - Fund Operations to manage client onboarding, reconciliation, custody operations, fund accounting and reporting functions for our Portfolio Management Services. Key Responsibilities : Client Onboarding & Account Management Manage end-to-end account opening for PMS...
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Mumbai, India LIC Mutual Fund Full timeJob Description Position- Manager / Deputy Manager AMC background preferred Function- Brokerage - Corporate Marketing About LIC Mutual Fund LIC Mutual Fund is among India's well-established players in the asset management industry. Guided by the principles of disciplined investing, strong financial ethics, and robust corporate governance, LIC MF continues to...