Fund Controller - Vice President

JPMorgan Chase & Co.

Bengaluru

On-site

INR 4,000,000 - 7,000,000

Full time

5 days ago
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Job summary

JPMorgan Chase & Co. in Bengaluru seeks an Alternative Fund Accounting & Financial Reporting Lead to set and improve objectives and ensure their achievement.

You will oversee IFRS and US GAAP, coordinate with GSS Finance leadership, and drive end-to-end reporting for multiple funds, including NAVs, P&L, and regulatory packs, while mentoring analysts.

Qualifications

  • Qualified CA/CPA/CMA with progressive fund accounting, reporting, controllership, or audit experience.
  • 5+ years of leadership experience with accountability for quality, timelines, and team development.
  • Deep understanding of alternative fund structures (private equity, real estate, infrastructure, hedge funds).
  • Expert knowledge of IFRS and US GAAP with ability to resolve complex technical accounting matters.
  • Strong numerical accuracy and ability to present complex topics to senior management.

Responsibilities

  • Oversee quarter-end financial statements, GAAP adjustments, variance analysis, and asset/debt appraisals, providing direction on technical accounting.
  • Serve as the technical accounting authority for IFRS and US GAAP, advising on complex accounting policy matters.
  • Partner with GSS Finance leadership, Investment Team, COO, Deal Support, and Marketing to translate portfolio activity into clear financial insights.
  • Deliver daily reporting for the GSS team (P&L, cash, expenses), highlighting key drivers, trends, and portfolio impacts.
  • Oversee accounting for portfolio companies, including wholly owned fund subsidiaries and operating companies.
  • Direct fund administrators and review their work to ensure quality, accuracy, and timeliness of deliverables.
  • Manage preparation and reconciliation of quarterly NAVs, fund financial statements, commitments, and related fund accounting activities across vehicles.
  • Review NAV pricing and performance metrics (TWRs, IRR, Equity Multiple) across multiple funds and investment vehicles.
  • Lead financial reporting reconciliations, control execution, and process improvements, and analyze investment financial statements to identify trends and risks.
  • Lead tax and regulatory reviews, prepare materials for valuation and risk committees, and support fund board meetings (packs and minutes).
  • Coordinate audits and stakeholder queries, approve funding requests with appropriate documentation, and mentor Associates/Analysts while leading cross-functional initiatives.

Skills

Leadership
Financial analysis
Communication
Problem solving
Attention to detail

Education

CA/CPA/CMA qualification

Job description

You are a strategic thinker passionate about driving solutions in “Alternative Fund Accounting & Financial Reporting”. You have found the right team

As “Alternative Fund Accounting & Financial Reporting Lead” within our “Global Special Situations (GSS) Fund Controllers” , you will be responsible for setting and improving our organizational objectives, and ensuring their consistent accomplishment.

Job Responsibilities
  • Oversee quarter-end financial statements, GAAP adjustments, variance analysis, and asset/debt appraisals, providing direction on technical accounting.
  • Serve as the technical accounting authority for IFRS and US GAAP, advising on complex accounting policy matters.
  • Partner with GSS Finance leadership, the Investment Team, COO, Deal Support, and Marketing to translate portfolio activity into clear financial insights.
  • Deliver daily reporting for the GSS team (P&L, cash, expenses), highlighting key drivers, trends, and portfolio impacts.
  • Oversee accounting for portfolio companies, including wholly owned fund subsidiaries and operating companies.
  • Direct fund administrators and review their work to ensure quality, accuracy, and timeliness of deliverables.
  • Manage preparation and reconciliation of quarterly NAVs, fund financial statements, commitments, and related fund accounting activities across vehicles.
  • Review NAV pricing and performance metrics (TWRs, IRR, Equity Multiple) across multiple funds and investment vehicles.
  • Lead financial reporting reconciliations, control execution, and process improvements, and analyze investment financial statements to identify trends and risks.
  • Lead tax and regulatory reviews, prepare materials for valuation and risk committees, and support fund board meetings (packs and minutes).
  • Coordinate audits and stakeholder queries, approve funding requests with appropriate documentation, and mentor Associates/Analysts while leading cross-functional initiatives.
Required qualifications, capabilities and skills
  • Hold CA/CPA/CMA qualification with at least years of progressive experience in fund accounting, reporting, controllership, or audit.
  • Demonstrate 5+ years of leadership experience with accountability for quality, timelines, and team development.
  • Apply deep understanding of alternative fund structures, including private equity, real estate, infrastructure, and hedge fund vehicles.
  • Exhibit expert knowledge of IFRS and US GAAP with ability to resolve complex technical accounting matters.
  • Analyze complex financial information with strong problem-solving skills and high numerical accuracy.
  • Communicate clearly with senior management and external stakeholders, including presenting complex financial topics.
  • Operate effectively under pressure while managing competing priorities and tight deadlines.
Preferred qualifications, capabilities and skills
  • Bring buyside exposure across private credit, private equity, distressed/stressed, and public/private securities.
  • Demonstrate experience overseeing multiple funds and investment vehicles with end-to-end reporting and performance oversight.
  • Showcase experience managing senior stakeholder relationships (Controllers, Portfolio Managers, auditors, administrators, investors).
  • Evidence experience supporting valuation/risk committee forums and fund board governance deliverables.
  • Lead cross-functional projects involving system implementations, process improvements, or regulatory change programs.
  • Navigate global tax and regulatory considerations across investments and jurisdictions.
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