Delivery Manager - Fund Accounting Private Markets

Acuity Analytics

Gurugram District

Hybrid

INR 3,200,000 - 5,200,000

Full time

10 days ago
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Job summary

Acuity Analytics in Gurgaon seeks a Delivery Manager to oversee end-to-end financial reporting, NAV calculations, and fund operations for Private Markets. You will lead data validation for portfolio companies, streamline audit deliverables, and optimize workflows using Workiva and Yardi.

The role requires 6–8 years in BFSI fund accounting/fund reporting, with strong Excel skills and leadership abilities to support senior executives.

Qualifications

  • MBA/PGDM preferred in Finance or related field.
  • CA/CFA/CMA certification highly desirable.
  • 6–8 years of BFSI fund accounting/valuation experience.

Responsibilities

  • Lead preparation, review, and tie-out of financial statements, board books, and Form PF filings using Workiva.
  • Oversee monthly NAV file updates and NAV reporting for multiple fund vehicles.
  • Manage equity roll-forwards, trial balance reviews, asset/liability tracking, and property NAV file prep.
  • Drive EBITDA reconciliations and Level 3 valuations; validate complex fee structures.
  • Coordinate daily trade ticket reconciliations, journal entries, and treasury activities.
  • Serve as main point of contact for external auditors and assist audit scoping and deliverables.

Skills

Fund accounting
NAV calculations
Financial reporting
Regulatory compliance
Team leadership
Excel proficiency
Analytical skills

Education

MBA/PGDM
CA/CFA/CMA

Tools

Workiva
Yardi
Geneva

Job description

Job Description:

Group Company: Acuity Analytics

Designation: Delivery Manager

Office Location: Gurgaon

The role entails supporting a senior professional from the Finance team of a leading Private Equity fund. The candidate oversees end-to-end financial reporting, net asset value (NAV) calculations, complex asset reconciliations, and regulatory compliance for multiple fund structures, including Infrastructure, Real Estate, and Co-investment vehicles. This role requires a firsthand leader to manage portfolio company data validation, streamline audit deliverables, and optimize fund operations workflow using tools like Workiva and Yardi.

Additional Responsibilities: Yardi tool/Geneva/Workiva

Reporting Team

  • Reporting Designation: Assistant Director
  • Reporting Department: Private Markets

Educational Qualifications Preferred

  • Field specialization: MBA/PGDM

Required Certification/s: CFA/CMA/CA

Required Work Experience

  • Industry: BFSI
  • Role: Fund Accounting/Fund Reporting/Fund Valuation
  • Years of experience: 6-8 years

Key Performance Indicators

  • Financial Statement Management: Lead the preparation, review, and tie-out of Financial Statements, Board Books, and Form PF filings using Workiva.
  • NAV Calculation: Oversee monthly average NAV file updates, NAV pick-up files for alternative investment vehicles (AIVs), and March/year-end NAV reporting.
  • Roll-forwards & Ledgers: Manage equity roll-forward files, trial balance reviews, asset/liability tracking, and monthly property NAV file preparations.
  • Valuation & Estimates: Drive the execution of EBITDA reconciliations, portfolio company true ups to actuals, and Level 3 reporting workbooks.
  • Fee & Expense Management: Calculate and validate complex management fees, advisory fees, incentive fees, deferred insurance/appraisal costs, and expense allocations.
  • Transaction Booking: Supervise daily trade ticket reconciliations, coupon checks, and recurring journal entries.
  • Treasury & Cash Flow: Monitor cash movements and yield variance analysis.
  • Regulatory Compliance: Execute regulatory tests including asset coverage tests.
  • Audit Coordination: Serve as the primary point of contact for external auditors, ensuring prompt delivery of trial balances, lease agreements, and scoping lists.

Required Competencies

  • 6-8 years of fund accounting experience in Private Equity, Infrastructure, or Real Estate, with proven experience supervising teams and managing fund operations workflows.
  • Advanced proficiency in Workiva for financial statements, Board Books, and Form PF filings.
  • Expertise in NAV calculations, equity roll-forwards, Level 3 valuations, and EBITDA reconciliations.
  • Strong technical skills in validating multi-tiered fee structures (management, advisory, incentive) and complex expense allocations.
  • Experience overseeing treasury operations, trade reconciliations, and regulatory asset coverage tests.
  • Proven ability to lead external audit coordination, streamline deliverables, and manage portfolio company data validation.
  • Advanced Microsoft Excel skills with sharp analytical and problem-solving capabilities for complex true ups.
  • Strong leadership and communication skills to manage team deliverables, support senior executives, and present financial trends.

Chartered Accountant (CA), CPA, or an MBA in Finance from a top-tier business school.

Work Environment Details: Hybrid

Requirements:

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