-NAV & Fund accounting of MF schemes -Responsible for NAV -Documenting MIS & Statutory reports -Resolve differences on periodical data reconciliations -Prepare &review financial statements -TDS, STT, management fees, billing fees, GST calculation
Required Candidate profile
- CA/B. Com/PG - 5-10 yrs of work exp in MF Fund Accounting of Equity, Debt, Liquid, Arbitrage, Overseas, ETF, Index Funds -Advance MS Excel -Ability to work under pressure -Client relationship
Job Classification
Industry: Financial Services (Asset Management)Functional Area / Department: Finance & AccountingRole Category: FinanceRole: Finance ManagerEmployement Type: Full time