
Financial Reporting
- Mumbai, Maharashtra
- Permanent
- Full-time
- Maintain accurate accounting and securities records for each fund administered, ensuring adherence to all prescribed controls for each fund accounting process.
- Investigate and resolve issues where accounting or securities transactions breach the validation tolerances of the JP Morgan system.
- Ensure timely production of NAV, accounting validation, and escalate management issues, contributing to the success of the individual's and team's performance.
- Provide training to new hires.
- Foster a collaborative environment by leveraging emotional intelligence skills to build trusting relationships with peers, managers, and stakeholders.
- Propose and implement improvements to current working methods, contributing to the efficiency and resilience of our operating platform.
- Demonstrated expertise in fund accounting and administration, with at least three years of experience focusing on maintaining accurate securities records, evidenced by successful management of related tasks and responsibilities.
- Proven ability to recognize, prevent, and respond to fraudulent activities, protecting the organization and its clients from financial losses.
- Advanced emotional intelligence, with a track record of building trusting relationships and establishing credibility with peers, managers, and stakeholders.
- Proficiency in continuous improvement, with experience in applying innovation and design thinking techniques to improve the efficiency, scale, and resilience of an operating platform.
- Strong presentation skills for effectively communicating fund performance and insights to stakeholders, and the ability to influence strategic initiatives and foster team collaboration.
- Expertise in leading process improvement efforts and managing change initiatives to enhance fund servicing efficiency and adapt to evolving market conditions.
- Proficiency in leveraging data and technology literacy to analyze fund data and implement technology-driven solutions.
- In-depth market product knowledge to ensure fund services align with industry standards and client needs.
- Skilled in overseeing project management activities to ensure timely and successful delivery of fund servicing projects.