Alternative Fund Services - Private Fund Services - Fund Accounting - Analyst/Associate - Bangalore

JPMorgan Chase & Co.

Bengaluru

On-site

INR 600,000 - 1,200,000

Full time

14 days+
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Job summary

JPMorgan Chase & Co. seeks a capable Team Leader for its Private Equity and Real Estate Services Fund Administration team in Bengaluru.

The role focuses on administering private equity funds, preparing and reviewing financial statements, and supporting investor relations activities. You will handle bookkeeping, reconciliations, fee calculations, and investor reporting while seeking process improvements and learning new software quickly.

Qualifications

  • Bachelor’s / Master’s degree in Accounting / ICWA / CA / MBA / CPA.
  • Minimum of 2 years of accounting experience, in private equity or hedge fund accounting.
  • High level of proficiency in Excel.
  • Attention to detail, analytical thinking and strong communication skills.
  • Team player with ability to see a project to conclusion with little follow-up.
  • Strong client service with professional skepticism and judgement.

Responsibilities

  • Perform daily, monthly, quarterly and annual accounting functions; record journal entries; reconcile accounts.
  • Prepare and review fund-level financial statements including balance sheet, income statement, capital, investments, footnotes and cash flows.
  • Prepare and review investor capital calls and distributions notices.
  • Understand fund agreements to determine reporting impact.
  • Review team work and provide feedback for timely delivery of quality output.
  • Elevate issues to Manager and work on internal/external projects.

Skills

Excel proficiency
Attention to detail
Analytical thinking
Verbal and written communication
Teamwork
Client service

Education

Bachelor’s/Master’s in Accounting/ICWA/CA/MBA/CPA

Tools

Investran
Accounting software

Job description

Description

The ideal candidate for this role should have a strong background in accounting, excellent analytical and problem-solving skills, and an eye for detail.

As aTeam Leader in our Private Equity and Real Estate Services Fund Administration team, you will be responsible for administering private equity funds and other alternative investment vehicles, including preparing & reviewing financial statements and reports and providing support for investor relations activities. You will be responsible for bookkeeping, reconciliation, calculating fees, preparing financial statements and investor reports, and process improvements.

You should be comfortable working with computers and have an aptitude for learning new software and systems quickly.

If you think you have what it takes to join our team,

Job Responsibilities
  • Perform daily, monthly, quarterly and annual accounting functions, Book and review journal entries into Accounting application, Reconcile accounts
  • Prepare and review fund level financial statements including the consolidated balance sheet, income statement, statement of partners' capital, schedule of investments, footnotes to financial statements and cash flows
  • Prepare and review investor capital calls, distributions notices
  • Understand fund agreements in order to determine impact on reporting
  • Review the work of team members and provide feedback for improvement in order to ensure timely delivery of quality output
  • Proactively anticipate, communicate and elevate issues to Manager in a timely manner
  • Work on special and ad hoc projects for internal initiatives & external clients
Required qualifications, capabilities and skills
  • Bachelor’s / Master’s degree in Accounting / ICWA / CA / MBA / CPA
  • Minimum of 2 years of accounting experience, in private equity or hedge fund accounting
  • High level of proficiency in Excel
  • Attention to detail, Innovative and analytical thinking with excellent verbal and written communication skills
  • Team player instincts with the ability to see a project to conclusion with little follow-up
  • Superb sense of client service with ability to appropriately exercise professional skepticism and judgment
Preferred qualifications, capabilities and skills
  • Familiarity with various private equity legal and investment structures
  • Familiarity with various waterfall models
  • Experience using partnership accounting applications (e.g., Investran)
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