Sr. Associate, Fund Accounting (Liquid Credit)
Ares Wealth Management Solutions View all jobs
- Mumbai, Maharashtra
- Permanent
- Full-time
- Oversee and review monthly/quarterly NAV packages from the fund administrator.
- Assist with monthly/quarterly close process and preparation of various management company deliverables.
- Reviewing and processing invoices related to funds.
- Assist with preparation of US GAAP financial statements for quarterly and annual reporting.
- Assist in providing compliance reporting (Form PF, ADV, etc.)
- Assist with maintaining and review of credit facilities in funds.
- Collaborate with team members to manage monthly and quarterly expense allocation and recovery functions between funds.
- Participate and contribute to regular review of processes and deliverables to improve effectiveness, efficiency, and accuracy.
- Integrate with global colleagues to ensure standard operating practice.
- Undertake any other responsibilities, tasks or activities as reasonably required.
Education:
- Bachelor’s Degree and CA Qualified
- Minimum 7-10 years of experience in accounting preferred.
- Industry experience preferred.
- Experience with Microsoft Dynamics 365 Business Central or Advent Geneva investment accounting software is a plus.
- Basic understanding of US GAAP.
- Excellent written and oral communication skills, be a highly motivated, proactive and resilient individual.
- Excellent organizational and inter-personal skills, attention to detail and timeliness required.
- Ability to work independently in a fast-paced, high growth environment.
- Strong problem-solving and analytical skills.
- Ability to prioritize/manage deadlines.
- Intermediate or advanced Excel user.