Manager, Closed-end Fund Accounting Real Estate Strategy

Oaktree

Hyderabad

On-site

INR 1,200,000 - 1,800,000

Full time

6 days ago
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Job summary

Oaktree is seeking a seasoned fund accounting professional in Hyderabad to join our accounting team. You will prepare and maintain books and records for pooled private investment funds structured as limited partnerships or separate accounts, and perform complex calculations.

The role requires at least 5 years in accounting or audit, with a Big Four background preferred, strong reconciliation skills, US GAAP knowledge, and advanced Excel.

Qualifications

  • Minimum 5 years' relevant accounting or audit experience within Big Four public accounting or a mix of public accounting and investment management industry experience.
  • Experience from a fund admin shop is a plus
  • Strong knowledge of reconciliation and account analysis
  • Experience in Geneva and Geneva World Investors preferred
  • Knowledge of US GAAP accounting, IFRS GAAP is a plus, operations, reconciliations, account analysis, and management reporting
  • Excellent understanding of accounting and the ability to apply relevant investment company accounting rules
  • Solid analytical skills and ability to understand and resolve complex problems
  • Proficiency in Microsoft Excel, Word, Teams, and PowerPoint. (PowerBI is a plus)

Responsibilities

  • Preparation and maintenance of the books and records of pooled private investment funds organized as limited partnerships and/or separate accounts
  • Preparation and/or review of complex management fee and waterfall calculations
  • Understanding of side pocket accounting
  • Understanding of internal rate of returns, time weighted returns and multiple of capital calculations
  • Recording and reconciliation of cash, investments and other balance sheet accounts
  • Recording of purchase and sale transactions
  • Estimating and posting of accruals
  • Preparation and/or review of allocations of income and expense allocations to each partner, including updating of distribution waterfall based on the terms of the governing documents
  • Determining and preparing distributions and drawdowns
  • Preparation monthly, quarterly, and annual financial reports
  • Analyzing and calculating performance metrics for partnerships/accounts as well as for each investment
  • Coordinating with funds' independent auditors, custodians, prime brokers and fund administrators
  • Performing other tasks as required

Skills

Big Four accounting experience
Fund accounting
Reconciliation and account analysis
US GAAP knowledge
Excel proficiency

Education

Bachelor's degree in accounting or finance
ACA/CPA is a plus

Tools

Geneva accounting system
Excel
PowerBI
Word
PowerPoint
Teams

Job description

Our Company

Oaktree is a leader among global investment managers specializing in alternative investments, with $203 billion in assets under management as of March 31, 2025. The firm emphasizes an opportunistic, value-oriented and risk-controlled approach to investments in credit, private equity, real assets and listed equities. The firm has over 1,200 employees and offices in 23 cities worldwide.


We are committed to cultivating an environment that is collaborative, curious, inclusive and honors diversity of thought. Providing training and career development opportunities and emphasizing strong support for our local communities through philanthropic initiatives are essential to our culture.


For additional information please visit our website at www.oaktreecapital.com.



Responsibilities


  • Preparation and maintenance of the books and records of pooled private investment funds organized as limited partnerships and/or separate accounts

  • Preparation and/or review of complex management fee and waterfall calculations

  • Understanding of side pocket accounting

  • Understanding of internal rate of returns, time weighted returns and multiple of capital calculations

  • Recording and reconciliation of cash, investments and other balance sheet accounts

  • Recording of purchase and sale transactions

  • Estimating and posting of accruals

  • Preparation and/or review of allocations of income and expense allocations to each partner, including updating of distribution waterfall based on the terms of the governing documents

  • Determining and preparing distributions and drawdowns

  • Preparation monthly, quarterly, and annual financial reports

  • Analyzing and calculating performance metrics for partnerships/accounts as well as for each investment

  • Coordinating with funds' independent auditors, custodians, prime brokers and fund administrators

  • Performing other tasks as required



Qualifications


  • Minimum 5 years' relevant accounting or audit experience within Big Four public accounting or a mix of public accounting and investment management industry experience

  • Experience from a fund admin shop is a plus

  • Strong knowledge of reconciliation and account analysis

  • Experience in Geneva and Geneva World Investors preferred

  • Knowledge of US GAAP accounting, IFRS GAAP is a plus, operations, reconciliations, account analysis, and management reporting

  • Excellent understanding of accounting and the ability to apply relevant investment company accounting rules

  • Solid analytical skills and ability to understand and resolve complex problems

  • Proficiency in Microsoft Excel, Word, Teams, and PowerPoint. (PowerBI is a plus)



Personal Attributes


  • Work Ethic : strong attention to detail and focus on continual development, performance, and accountability

  • Organization : proven ability to multi-task and efficiently manage time across competing activities; able to effectively prioritize, execute tasks, and thrive in a high-pressure, fast-paced environment

  • Independence : experience working both independently and, in a team-oriented, collaborative environment; must be able to drive work effectively with limited supervision (at times); a self-starter with the ability to take initiative, ask questions, detect problems and provide solutions

  • Flexibility : adapting priorities, demands and timelines through analytical and problem-solving capabilities

  • Communication : strong interpersonal and written/verbal communication skills.



Education


  • Bachelor's degree in accounting or finance. ACA/CPA is a plus



Oaktree is committed to diversity and to equal opportunity employment.


Oaktree does not make employment decisions on the basis of race, creed, color, ethnicity, national origin, citizenship, religion, sex, sexual orientation, gender identity, gender expression, age, past or present physical or mental disability, HIV status, medical condition as defined by state law (genetic characteristics or cancer), pregnancy, childbirth and related medical conditions, veteran status, military service, marital status, familial status, genetic information, domestic violence victim status or any other classification protected by applicable federal, state and local laws and ordinances.


This policy applies to hiring, placement, internal promotions, training, opportunities for advancement, recruitment advertising, transfers, demotions, layoffs, terminations, recruitment advertising, rates of pay and other forms of compensation and all other terms, conditions and privileges of employment.


This policy applies to all Oaktree applicants, employees, clients, and contractors.

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