Delivery Lead-PE Fund

Acuity Analytics

Gurugram District

On-site

INR 1,500,000 - 2,800,000

Full time

7 days ago
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Job summary

Acuity Analytics is seeking an experienced Fund Accountant in Gurugram to support fund accounting, financial reporting, investor reporting, and related operations across private equity funds, SPVs, and management companies. You will handle journal entries, reconciliations, capital activity, and end-of-period closes with collaboration from cross-functional teams.

The role requires 5+ years of experience in private equity or alternative investments, strong Excel skills, and the ability to manage

Qualifications

  • 5+ years of experience in Private Equity Fund Accounting, Fund Administration, Fund Operations, or Alternative Investments.
  • Strong understanding of private equity fund structures, partnership accounting, capital activity, and investor allocations.
  • Experience with journal entries, reconciliations and quarter-end close.
  • Exposure to investor reporting, fund reporting, and audit support activities.
  • Advanced Excel and strong analytical skills.

Responsibilities

  • Prepare and post journal entries independently using supporting schedules, transaction documentation, and bank statements.
  • Perform bank reconciliations and investigate outstanding reconciling items.
  • Review and process fund and management company invoices and validate expense allocations.
  • Record accruals, prepaid amortization, management fees, and other period-end accounting adjustments.
  • Track and record capital calls, distributions, commitments, and investor transactions.
  • Support Investran reconciliations and maintain integrity between accounting and reporting systems.
  • Perform end-to-end quarter-end and year-end close activities.
  • Prepare financial statements and supporting schedules in accordance with reporting requirements.
  • Review financial statements for accuracy, tie-outs, cross-references, and presentation consistency.
  • Support preparation of investor reporting packages, capital account statements, and quarterly reporting deliverables.
  • Assist with regulatory, compliance, tax, and audit reporting requirements including standard reporting packages.
  • Manage investor queries, maintain reporting trackers, and support ad hoc accounting and operational projects

Skills

Advanced Excel
Financial reporting
Investor reporting
Journal entries
Reconciliations
Communication
Stakeholder management

Tools

Investran

Job description

  • Support fund accounting, financial reporting, investor reporting, and operational activities across private equity funds, co-investment vehicles, SPVs, GP entities, and management companies.
  • Perform accounting, reconciliations, capital activity processing, and quarter-end close within a complex alternative investment environment.
  • Partner with finance, fund administration, audit, tax, compliance, and investor relations teams to ensure accurate reporting and operational excellence.
Role Summary
  • Support fund accounting, financial reporting, investor reporting, and operational activities across private equity funds, co-investment vehicles, SPVs, GP entities, and management companies.
  • Perform accounting, reconciliations, capital activity processing, and quarter-end close within a complex alternative investment environment.
  • Partner with finance, fund administration, audit, tax, compliance, and investor relations teams to ensure accurate reporting and operational excellence.
Key Responsibilities
  • Prepare and post journal entries independently using supporting schedules, transaction documentation, and bank statements.
  • Perform bank reconciliations and investigate outstanding reconciling items.
  • Review and process fund and management company invoices and validate expense allocations.
  • Record accruals, prepaid amortization, management fees, and other period-end accounting adjustments.
  • Track and record capital calls, distributions, commitments, and investor transactions.
  • Support Investran reconciliations and maintain integrity between accounting and reporting systems.
  • Perform end-to-end quarter-end and year-end close activities.
  • Prepare financial statements and supporting schedules in accordance with reporting requirements.
  • Review financial statements for accuracy, tie-outs, cross-references, and presentation consistency.
  • Support preparation of investor reporting packages, capital account statements, and quarterly reporting deliverables.
  • Assist with regulatory, compliance, tax, and audit reporting requirements including standard reporting packages.
  • Manage investor queries, maintain reporting trackers, and support ad hoc accounting and operational project
Required Experience
  • 5+ years of experience in Private Equity Fund Accounting, Fund Administration, Fund Operations, or Alternative Investments.
  • Strong understanding of private equity fund structures, partnership accounting, capital activity, and investor allocations.
  • Proven experience preparing journal entries independently using supporting documentation and bank statements.
  • Strong understanding of end-to-end quarter-end close and financial statement preparation.
  • Experience with reconciliations, expense allocations, accruals, and general ledger accounting.
  • Exposure to investor reporting, fund reporting, and audit support activities.
  • Advanced Excel and strong analytical skills.
  • Excellent communication and stakeholder management capabilities.
Preferred Experience
  • Experience with Investran.
  • Exposure to flagship buyout funds, co-investment structures, SPVs, and management company accounting.
  • Experience supporting investor reporting and regulatory reporting requirements.
  • Experience working with fund administrators, auditors, tax advisors, and investor relations teams.
  • Exposure to process improvement and automation initiatives.
Why This Role?

An opportunity to support a leading private markets platform while gaining exposure to complex fund structures, partnership accounting, financial reporting, investor servicing, fund operations, and large-scale private equity investment strategies.

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