Hybrid Fund Accounting Manager

Posted 5 hours ago

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About the role

  • Manager of Fund Accounting overseeing financial responsibilities for real estate funds in Bangalore. Focus on NAV calculations, financial statements, and ensuring compliance with audit requirements.

Responsibilities

  • Calculating Net Asset Values (NAV) and preparing comprehensive financial statements to meet diverse client requirements.
  • Creating management accounts and reports, including journal entries, accruals, adjustments, and calculating fund-level fees with precision.
  • Preparing and authorizing interim and annual NAV packs and financial statements, including consolidated accounts for Special Purpose Vehicles (SPVs).
  • Leading the setup of funds, properties, and leases, while managing accounts payable and receivable using Yardi software.
  • Vigilantly verifying transactions and audit comments within established timelines and promptly resolving any discrepancies.
  • Ensuring strict adherence to company policies and internal controls at all times.
  • Collecting critical information for fund and property setups to facilitate accurate NAV calculations and timely NAV pack preparation.
  • Conducting cash, position, market value, and inter-company reconciliations efficiently, ensuring all deadlines are met.
  • Implementing robust process improvements that enhance operational efficiency and team productivity.
  • Spearheading the migration of real estate funds from onshore locations and converting funds to Yardi seamlessly.
  • Managing client relationships with confidence, ensuring deliverables are met on daily, weekly, monthly, and quarterly schedules.
  • Liaising effectively with the onshore team, clients, and auditors to secure timely financial approvals.
  • Driving initiatives related to automation and project migrations to optimize operations

Requirements

  • Proven experience in fund and property accounting, NAV calculation, and financial statement preparation for real estate funds.
  • Demonstrated ability in transitioning real estate funds from onshore locations and effectively onboarding new clients.
  • Exceptional skills in building and maintaining client relationships, coupled with strong communication abilities.
  • Strong grasp of accounting principles and experience in managing audit requirements.
  • Proficient in Yardi Voyager, Microsoft Office, and macro-enabled workbooks.
  • 0-4 years (4-12 years for Midlevel) of relevant experience in real estate fund accounting is essential.
  • Hold a postgraduate degree in Commerce, an MBA in Finance, or professional qualifications such as CA, CMA, CPA or CFA.

Benefits

  • Annual success-sharing bonuses or commission plans based on individual performance
  • Range of support to colleagues with disabilities
  • Flexible working arrangements
  • Professional development opportunities including tuition reimbursement and expert-led development programs
  • Community impact through CSC Gives Back initiatives

Job title

Fund Accounting Manager

Job type

Experience level

Mid levelSenior

Salary

Not specified

Degree requirement

Postgraduate Degree

Location requirements

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