Fund Accountant

4 weeks ago


Mumbai, Maharashtra, India Vivriti Asset Management Full time
About Vivriti Group Vivriti 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 disbursed over USD 3 billion to 300+ enterprise borrowers and holds a CRISIL rating of A+.
Vivriti Asset Management : A fixed-income fund manager, managing multiple Alternative Investment Funds (AIFs).
With over USD 550 million in commitments from 900+ institutional and private contributors, Vivriti AMC has invested more than USD 600 million across 90+ entities.
Role Summary: We are seeking an experienced and detail-oriented Fund Accounting Lead to manage the accounting and financial operations of our Alternative Investment Funds (AIFs), particularly focused on debt-based strategies across Category II and Category III funds .
The role requires deep knowledge of fund structures, investment life cycles, SEBI regulations, and hands-on expertise in fund operations, NAV calculation, investor reporting, and regulatory compliance.
Key Responsibilities: 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 terms.
3.
Compliance & Regulatory Filings Ensure timely and accurate filing of: SEBI monthly/quarterly reports (AIF templates) Form 64 D & 64 C under Income Tax Annual PPM compliance report, valuation reports, and statutory audit disclosures Other applicable compliances Liaise with compliance teams and custodians to ensure adherence to SEBI AIF Regulations and FEMA guidelines , if applicable.
4.
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 26 Q, Form 15 CA/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 6+ years of experience in fund accounting, preferably in an AIF, PMS, or AMC.
Sound understanding of: SEBI AIF Regulations (2012) Indian accounting standards (IGAAP) Debt instruments and cash flow-based valuation NAV computation and investor-level unit accounting 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.
  • Fund Accountant

    1 week ago


    Mumbai, Maharashtra, 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...

  • Fund Accountant

    3 weeks ago


    Mumbai, Maharashtra, India Nuvama Asset Services Full time

    We're Hiring: Fund Accounting – Asset Services (AIF/PMS) We are one of India's leading investment support platforms, delivering services across: Custody Fund Administration Trustee & Escrow Investment Operations Derivatives Clearing & Collateral Management Location: Mumbai Experience: 3–15 years Business Unit: Nuvama Asset Services Are...

  • Fund Accountant

    4 weeks ago


    Mumbai, Maharashtra, India Vivriti Asset Management Full time

    About Vivriti Group Vivriti 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...

  • Fund Accounting

    21 hours ago


    Mumbai, Maharashtra, India Deutsche Bank Full time

    Job DescriptionFund Accounting & Reporting Analyst, ASPosition OverviewJob Title: Fund Accounting & Reporting Analyst, ASLocation: Mumbai, IndiaRole Description- Our Fund administration team is working with some of the top names in the fund industry. You'll be working in one of the teams responsible for managing the end to end processes related to securities...

  • Fund Accounting

    3 weeks ago


    Mumbai, Maharashtra, India Decimal Point Analytics Full time

    - We are seeking a driven and detail-oriented Analyst with strong expertise in Fund Accounting and Data Management within the Private Equity domain.- The ideal candidate will play a critical role in identifying data gaps, reconciling discrepancies, and enhancing reporting accuracy.- This role demands a hands-on problem solver who can take ownership, drive...

  • Fund Accounting

    2 days ago


    Mumbai, Maharashtra, India Deutsche Bank Full time ₹ 9,00,000 - ₹ 12,00,000 per year

    Job Description:Job Title: Fund Accounting & Reporting Analyst, ASLocation: Mumbai, IndiaRole DescriptionOur Fund administration team is working with some of the top names in the fund industry.  You'll be working in one of the teams responsible for managing the end to end processes related to securities and portfolio / fund valuation for client segments...


  • Mumbai, Maharashtra, India Corenza Full time

    About Company :Growth-focused investment firm with a strong presence in the private equity and venture capital ecosystem.Key Responsibilities :Assist in day-to-day fund accounting and NAV calculations for PE funds.Review of accounts of fund entities as per IFRS and US GAAP.Coordinate with external fund administrators, custodians, tax advisors and...


  • Mumbai, Maharashtra, India Ro Fund Management P. Ltd. Full time

    About the Company The Company - Ro Fund Management P Ltd. is a Mumbai based firm which is launching a new SEBI approved Category III Alternate Investment Fund later this year. The CIO has 25+ years of Fund management experience primarily in the US. About the Role Operations Manager - Alternate Investment Fund Responsibilities Looking for a candidate with...


  • Mumbai, Maharashtra, India Citco Full time

    About Citco:JOB DESCRIPTION:The market leader.The premier provider.The best in the business.At Citco, weve been the front-runner in our field since our incorporation in 1948 led to the evolution of the asset servicing sector itself.This pioneering spirit continues to guide us today as we innovate and expand, push beyond the boundaries of our industry, and...


  • Mumbai, Maharashtra, India Skylark Digi Solutions Full time

    Role: Fund Accountant.Experience: 8 Years+.Positions Available: 2Working Days: Sunday to ThursdayBase Location: Mumbai / KSA (Onsite Opportunity).Notice Period: Immediate joiners preferred.Mode of Interview: Virtual / Online.Work location Manage fund accounting operations across various asset classes.- Execute accurate trade processing and ensure...