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Fund Accountant-Mutual Funds -CA

MONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED · Maharashtra, India

FULL TIME

Job Description

Hiring | Fund Accounting & Reconciliation | Mutual Fund Operations | Mumbai | CA A leading Asset Management Company (AMC) is looking for Freshers for – Fund Accounting & Reconciliation to manage end-to-end Fund Accounting, NAV Validation, Investor Transaction Reconciliation, Financial Reporting, and Regulatory Compliance for Mutual Fund schemes. This is a high-impact role for professionals with strong expertise in Mutual Fund Operations, NAV Computation, Scheme Accounting, Cash & Position Reconciliation, and SEBI compliance . Key Responsibilities Fund Accounting & NAV Compute, review, and validate daily Net Asset Value (NAV) for Mutual Fund schemes. Ensure accurate valuation of portfolios, income accruals, expense provisioning, and pricing in line with regulatory guidelines. Coordinate with Fund Accountants for daily and year-end NAV processes and financial reporting. Reconciliation & Operations Oversee cash, portfolio, bank, and investor transaction reconciliations across Mutual Fund schemes. Validate subscriptions, redemptions, dividend payouts, commissions, and expense accounting. Investigate reconciliation breaks, identify root causes, and ensure timely resolution. Maintain complete reconciliation records and audit trails. Financial Reporting Review and verify scheme financial statements , expense ratios, balance sheets, and supporting schedules. Ensure accurate accounting and reporting of scheme assets and liabilities. Compliance & Audit Ensure strict adherence to SEBI Regulations, AMFI Guidelines, and Mutual Fund accounting standards . Coordinate with statutory auditors, internal auditors, custodians, Registrars & Transfer Agents (RTA), banks, payment partners, and Fund Accountants. Support annual audits, regulatory reporting, and compliance reviews. Expense Management Monitor management fees, TER calculations, administrative expenses, and budget allocations. Ensure accurate processing and accounting of all scheme-related expenses. Stakeholder Management Collaborate with internal teams and external service providers including Custodians, Fund Accountants, RTAs, Banks, and Payment Aggregators to ensure seamless operational efficiency. Ideal Candidate CA - Mandatory 0 to 2 years of experience in Mutual Fund Operations , preferably across Fund Accounting and Reconciliation . Strong expertise in: Fund Accounting , NAV Calculation & Validation ,Cash & Position Reconciliation, Portfolio Reconciliation ,Mutual Fund Accounting ,Investor Transaction Processing ,Expense Accruals & TER Audit & Regulatory Reporting Experience in the initial setup of Mutual Fund Operations or Fund Accounting processes will be an added advantage. Location Mumbai MutualFundOperations FundAccounting NAVCalculation NAVValidation FundValuation SchemeFinancialStatements ExpenseAccrual PortfolioReconciliation CashReconciliation SEBIRegulations AMFIGuidelines AssetManagementCompany AMC FundOperations CustodianReconciliation FinancialReporting Audit MutualFunds InvestmentOperations BankRecociliation RTA AssetManagementCompany SEBIRegulation Audit CustodianReconciliation CharteredAccountant

Details

CompanyMONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED
LocationMaharashtra, India
TypeFULL TIME
Nichefinance

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