⚑ New

Fund Accountant

Akron Intel

MumbaiFull-timeMid LevelOn-site

Job Description

Job Description

Hiring: Fund Accounting Analyst | Navi Mumbai

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Location: Navi Mumbai (Ghansoli)

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Work Mode: Work from Office

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Experience: 7+ Years

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Domain: Capital Markets

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Immediate Joiners only!!!

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We are seeking skilled Fund Accounting professionals with strong experience in NAV calculations and reconciliation activities.

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Key Skills Required:

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  • Fund Accounting
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  • Manual NAV Calculation
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  • NAV Validation
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  • NAV Movement Analysis
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  • Cash Reconciliation
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  • Position Reconciliation
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  • Expense & Income Reconciliation
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  • Experience in posting and validating fund expenses
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Good to Have:

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βœ” Exposure to MCH Application

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Shift Timings (Rotational):

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  • Late EMEA Shift: 2:00 PM – 11:00 PM IST
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  • North America Shift: 6:00 PM – 3:00 AM IST
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Ideal Candidate:

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  • 7+ years of experience in Fund Accounting within Capital Markets
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  • Hands-on experience in manual NAV calculation and validation
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  • Strong understanding of fund accounting processes, reconciliations, and exception management
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  • Ability to analyze NAV movements and investigate breaks independently
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#Hiring #FundAccounting #NAVCalculation #FundOperations #CapitalMarkets #InvestmentOperations #Reconciliation #NaviMumbaiJobs #FinanceJobs #AssetManagement #MutualFunds #CareerOpportunity

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