Deloitte

Assistant Manager || Fund Accounting

Deloitte

British Indian Ocean Territory

Accepting Applications Full-time On-site LinkedIn
Posted 1 week ago 3 views 0 applications
Job Description

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Assistant Manager | Tax – Business Process Solution | Fund Accounting

  • Location:

Mumbai

The team

Business Process Solutions helps businesses manage their essential operational finance, HR, payroll \& industry processes by leveraging experienced professionals who provide advice and practical support through a mix of outsourcing, contract personnel, co-sourcing, and project-related services Learn more about our Tax Practice.

Your work profile

As an Assistant Manager in our BPS Tax team, you’ll build and nurture positive working relationships with teams and clients with the intention to exceed client expectations.

You will:

  • In depth understanding of the typical fund structures- debt, equity, hedge fund
  • Detail oriented approach to review the fund documents such as Private Placement Memorandum (PPM), Contribution Agreement (CA), Portfolio investee entities securities documents and derive relevant calculations typical to distribution and NAV
  • Overview and support on Capital Calls, corporate actions, expense and income accruals processing
  • Devise and design formula driven excel templates for distribution proceeds, fund level NAV and Investor level NAV
  • Preparing Investor Distribution proceeds statement based on waterfall as per PPM, allocation of fund and organization expenses
  • Computing management fees, carried interest, incentive fees, catch up
  • Preparing fund level NAV
  • Preparing Investor level NAV taking care of the waterfall and hurdle rate
  • Position reconciliation, equalization calculation
  • Preparing investor level reports as per client’s requirement
  • Overviewing client onboarding in the Accounting ERP
  • Reviewing accounting entries posted in fund accounting ERP- capital calls, distribution, expenses and valuation
  • Overviewing management of bank account including bank account reconciliation, uploading vendor and tax payments
  • Preparing financial statements as per IGAAP
  • In case of offshore funds preparing financial statements as per IFRS, US GAAP
  • Basic knowledge of fund taxation – withholding tax and foreign remittance- Form 15CA, , 15CB
  • Reviewing the details compiled for SEBI reporting
  • Regular interaction with the client , providing clarification and addressing any client escalations
  • Maintaining issue log and preparing Standard operating procedures (SOP)

Key skills required:

  • B Com/M Com and MBA/CA/ CFA
  • NISM certification courses
  • Financial instruments and Derivatives certification course
  • Worked on Tally, Fund Count, Wealth spectrum, any other accounting and investor reporting software
  • Advanced excel skills , Formulas, Macros
  • Minimum 2 to 4 years of experience in the following funds category
  • Alternate Investment Funds-Category I,II,III
  • Private Equity, Venture capital fund, Onshore funds and offshore funds, Hedge Funds
  • Accepting challenges, Adaptable and Flexible
  • Methodical approach, focus on correctness and accuracy in calculations
  • Detail oriented, Analytical mindset, Trustworthy and Integrity, Team spirit.
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