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Senior Fund Accountant

CSC · Bangalore, Karnataka, India

AccountingExternal listingfull-timeabout 1 hour ago

About The Role

Key Responsibilities

Fund Accounting & NAV

  • Prepare and review monthly/quarterly NAV calculations for Private Equity funds and SPVs
  • Ensure accurate accounting of investments, including fair value measurement in accordance with valuation policies
  • Review general ledger, trial balances, and supporting schedules

Capital Activity & Investor Reporting

  • Process capital calls, distributions, and equalization calculations
  • Prepare and review investor capital statements and notices
  • Maintain accurate LP records and investor allocations

Financial Reporting

  • Prepare quarterly and annual financial statements in accordance with US GAAP / IFRS
  • Coordinate audit deliverables and support external auditors during fund audits
  • Review management fee and carried interest calculations

Cashflow & Performance Reporting

  • Prepare and review fund cashflow forecasts and liquidity schedules
  • Support IRR, MOIC, and other performance metrics
  • Assist with Board, Investment Committee, and client reporting

Controls, Compliance & Documentation

  • Ensure compliance with fund legal documents (LPA, PPM, side letters)
  • Maintain strong internal controls and adhere to SOX or equivalent control frameworks
  • Support regulatory and compliance reporting as required

Stakeholder Management

  • Act as a key point of contact for auditors, fund administrators, custodians, and internal teams
  • Respond to internal and external queries in a timely and professional manner

Team Leadership & Process Improvement

  • Review work of junior accountants and provide guidance and mentoring
  • Identify and implement process improvements and automation opportunities
  • Support transitions of new funds and structures

Qualifications & Experience

  • CA / CPA / ACCA or equivalent professional qualification
  • 5–8 years of experience in Private Equity or Alternative Investment fund accounting
  • Strong understanding of PE fund structures, capital accounting, and valuation methodologies
  • Hands-on experience with accounting systems (e.g., Investran, eFront, Yardi, Geneva, or similar)
  • Advanced Excel skills; experience with reporting and workflow tools preferred

Key Skills & Competencies

  • Strong analytical and problem-solving skills
  • High attention to detail with ability to meet tight deadlines
  • Excellent communication and stakeholder management skills
  • Ability to work independently and manage multiple priorities
  • Team leadership and coaching mindset

Preferred Attributes

  • Experience supporting Board or investor-level reporting
  • Exposure to multi-currency funds and complex investment structures
  • Experience working in a global delivery or shared services model

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