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
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