
AVP, Fund Accounting (Public Credit)
Ares Wealth Management Solutions
- Mumbai, Maharashtra
- Permanent
- Full-time
- Assist in managing relationships and liaising with internal resources, offshore resources, fund administrators and auditors to meet daily, monthly, quarterly, and annual reporting deadlines.
- Work alongside outside fund administrators in the preparation and review of workpapers.
- Oversee and review daily and monthly NAV packages from the fund administrator.
- Support the preparation and review of various supporting schedules for US GAAP financial statements, including those required for monthly reporting as well as quarterly and annual SEC filings.
- Assist with monthly/quarterly close process
- High level of interaction across the organization, including communications with portfolio managers, investor relations, operations, tax, and financial reporting.
- Prepare/review monthly cash/par reconciliations for all legal entities.
- Participate and contribute to regular review of processes and deliverables to improve effectiveness, efficiency, and accuracy.
- Various ad-hoc/special projects.
- Bachelor’s Degree and CA Qualified
- CPA equivalent a plus
- Minimum 10 years plus of post-qualifications experience in accounting/cash management preferred.
- Industry experience preferred.
- Experience with Advent Geneva investment accounting software or Microsoft Dynamics 365 Business Central a plus.
- Ability to work independently in a fast-paced, high growth environment.
- Highly motivated team player with a strong work ethic.
- Basic understanding of US GAAP.
- Ability to prioritize/manage deadlines.
- Intermediate or advanced Excel user.
- Extremely detailed oriented with proven track record for accuracy
- Critical thinker, strong analytical skills, and initiative to increase knowledge.
- Team player, motivated to produce high quality deliverables.
- Personal and professional integrity of the highest order