Vice President

Apex Group Ltd

Bengaluru

On-site

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

Full time

2 days ago
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Job summary

Apex Group Ltd in Bengaluru seeks a Vice President – Real Assets Fund Accounting to lead fund accounting operations for Real Assets funds, including Real Estate, Infrastructure, Private Credit, and other Alternative investments.

The role oversees NAV review, financial reporting, client servicing, and team leadership, driving governance, process improvements, and transformative initiatives in a global client environment.

Qualifications

  • Bachelor's or Master's degree in Finance, Accounting, Commerce, or related field.
  • 12–18 years of experience in Fund Accounting/Fund Administration with significant exposure to Real Assets.
  • Proven experience managing large teams and client relationships.

Responsibilities

  • Oversee end-to-end fund accounting operations for Real Assets funds.
  • Review and approve NAV packages, capital account statements, and investor allocations.
  • Ensure accurate accounting treatment of investment transactions, including acquisitions, disposals, financing activities, and complex allocations.
  • Review quarterly and annual financial statements in accordance with US GAAP, IFRS, and other applicable accounting standards.
  • Monitor fund performance metrics and reporting deliverables.
  • Act as the primary escalation point for key clients.
  • Build strong relationships with fund managers, investment advisors, auditors, and external stakeholders.
  • Lead client service review meetings and ensure high-quality service delivery.
  • Manage complex client requests and drive resolution within agreed timelines.
  • Lead and develop a team of Fund Accounting professionals, including AVPs, Managers, and Associates.
  • Drive employee engagement, performance management, coaching, and succession planning.
  • Conduct regular reviews and provide technical guidance on accounting and reporting matters.
  • Ensure effective resource planning and workload management.
  • Ensure adherence to regulatory requirements, internal controls, and operational policies.
  • Coordinate external audits and support regulatory reporting requirements.
  • Drive risk mitigation initiatives and ensure strong governance across processes.
  • Maintain compliance with fund documents, partnership agreements, and investor reporting obligations.
  • Identify opportunities for process optimization and automation.
  • Drive operational excellence initiatives and improve efficiency, scalability, and controls.
  • Partner with technology teams for system enhancements and implementation of industry-leading solutions.
  • Support strategic projects, migrations, and new client onboarding initiatives.

Skills

Fund accounting
NAV review
Client relationship management
Team leadership
Regulatory compliance
Process improvement
Stakeholder management

Education

Bachelor's degree in Finance/Accounting/Commerce
Master's degree preferred

Tools

Yardi
Investran
eFront
Geneva
Allvue
Excel

Job description

We are seeking an experienced and results-driven Vice President – Real Assets Fund Accounting to lead fund accounting operations for Real Assets funds, including Real Estate, Infrastructure, Private Credit, Energy, and other Alternative Investment structures. The individual will be responsible for overseeing fund accounting, financial reporting, NAV review, client servicing, team leadership, and process improvement initiatives while ensuring compliance with regulatory and accounting standards.

The ideal candidate should possess deep expertise in alternative investment fund accounting, strong leadership capabilities, and the ability to manage key client relationships in a dynamic global environment.

Key Responsibilities
Fund Accounting & Financial Reporting
  • Oversee end-to-end fund accounting operations for Real Assets funds.
  • Review and approve NAV packages, capital account statements, and investor allocations.
  • Ensure accurate accounting treatment of investment transactions, including acquisitions, disposals, financing activities, and complex allocations.
  • Review quarterly and annual financial statements in accordance with US GAAP, IFRS, and other applicable accounting standards.
  • Monitor fund performance metrics and reporting deliverables.
Client Relationship Management
  • Act as the primary escalation point for key clients.
  • Build strong relationships with fund managers, investment advisors, auditors, and external stakeholders.
  • Lead client service review meetings and ensure high-quality service delivery.
  • Manage complex client requests and drive resolution within agreed timelines.
  • Lead and develop a team of Fund Accounting professionals, including AVPs, Managers, and Associates.
  • Drive employee engagement, performance management, coaching, and succession planning.
  • Conduct regular reviews and provide technical guidance on accounting and reporting matters.
  • Ensure effective resource planning and workload management.
Governance & Compliance
  • Ensure adherence to regulatory requirements, internal controls, and operational policies.
  • Coordinate external audits and support regulatory reporting requirements.
  • Drive risk mitigation initiatives and ensure strong governance across processes.
  • Maintain compliance with fund documents, partnership agreements, and investor reporting obligations.
Process Improvement & Transformation
  • Identify opportunities for process optimization and automation.
  • Drive operational excellence initiatives and improve efficiency, scalability, and controls.
  • Partner with technology teams for system enhancements and implementation of industry-leading solutions.
  • Support strategic projects, migrations, and new client onboarding initiatives.
Required Qualifications
  • Bachelor's or Master's degree in Finance, Accounting, Commerce, or related field.
  • 12–18 years of experience in Fund Accounting/Fund Administration with significant exposure to Real Assets.
  • Proven experience managing large teams and client relationships.
Required Experience
  • Strong experience in Real Estate Fund Accounting, Infrastructure Funds, Private Debt/Private Credit Funds, or related Alternative Investment structures.
  • Extensive knowledge of:
  • Capital Calls & Distributions
  • Waterfall Calculations
  • Carried Interest
  • Partnership Accounting
  • Investor Allocations
  • NAV Preparation and Review
  • Experience working with global clients across US, UK, EMEA, and APAC regions.
Technical Skills
  • Strong understanding of US GAAP and IFRS.
  • Knowledge of Real Asset investment structures and fund lifecycle.
  • Advanced proficiency in Excel and fund accounting platforms.
  • Experience with systems such as Yardi, Investran, eFront, Geneva, Allvue, or similar platforms is preferred.
  • Strategic thinking and decision-making.
  • Strong stakeholder and client management skills.
  • Excellent communication and presentation abilities.
  • Ability to influence senior leadership and drive business outcomes.
  • Proven track record in managing large-scale operations and transformation initiatives.
Success Measures
  • Timely and accurate delivery of NAVs and financial reporting.
  • High client satisfaction and retention.
  • Strong control environment and audit outcomes.
  • Team engagement, development, and retention.
  • Successful execution of operational excellence initiatives.
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