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Fund Accountant-Mutual Funds -CA

MONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED · 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
LocationIndia
TypeFULL TIME
Nichefinance

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