BPO PE and Fund accounting Sr Analyst

NTT DATA BUSINESS SOLUTIONS

Gurugram District

On-site

INR 650,000 - 1,100,000

Full time

14 days+
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Job summary

NTT DATA BUSINESS SOLUTIONS in Gurugram is seeking a Fund Accounting Analyst to support hedge funds and private equity funds. You will review journal entries, bank reconciliations and prepare monthly reporting packages including NAV and P&L statements.

Responsibilities include ensuring accruals for management and performance fees, processing capital activities, and delivering bespoke client reports. You will independently reconcile cash, portfolio and capital accounts and maintain investor data.

Responsibilities

  • Review Booking Journal Entries basis bank statements and client
  • Review of Bank Reconciliation and maintaining the respective financial logs
  • Prepare monthly financial reporting package for the Hedge Funds and Private Equity Funds, including the determination of Net Asset Value and prepare the Statement of Asset and Liabilities and Profit and Loss Statement
  • Ensuring fund income and expenses, including management and performance fees, are accrued for and are in accordance with relevant accounting standards
  • Accurate and timely processing of all capital activities including calls and distributions, transfers, rollups, capital commitments and calls
  • Derive pricing for portfolio investments. Updating status reports
  • Cash Management-managing the daily cash flow of trades and monitoring fund cash-flows. Process incoming and outgoing cash movements related to capital activity
  • Reporting-preparing bespoke reports to address client requests
  • Independently review and complete cash, portfolio and capital reconciliations and investigate and resolve any discrepancies
  • Creation and maintenance of investor information including payment models and contacts

Job description

  • Review Booking Journal Entries basis bank statements and client
  • Review of Bank Reconciliation and maintaining the respective financial logs
  • Review Prepare monthly financial reporting package for the Hedge Funds and Private Equity Funds, including the determination of Net Asset Valueand prepare the Statement of Asset and Liabilities and Profit and Loss Statement
  • Ensuring fund income and expenses, including management and performance fees, are accrued for and are in accordance with relevant accounting standards.
  • Accurate and timely processing of all capital activities including calls and distributions, transfers, rollups, capital commitments and calls.
  • Derive pricing for portfolio investments. Updating status reports.
  • Cash Management-managing the daily cash flow of trades and monitoring fund cash-flows. Process incoming and outgoing cash movements related to capital activity
  • Reporting-preparing bespoke reports to address client requests.
  • Independently review and complete cash, portfolio and capital reconciliations and investigate and resolve any discrepancies
  • Creation and maintenance of investor information including payment models and contacts
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