NAV Calculation: Calculate the Net Asset Value (NAV) for various investment portfolios daily, ensuring accuracy and timeliness.
Financial Reporting: Prepare and analyze financial statements and reports related to investments, including P&L statements, balance sheets, and investor reports.
Compliance and Control: Ensure compliance with financial regulations and standards. Maintain internal controls over financial procedures and documentation.
Transaction Management: Record and reconcile investment transactions. Verify and process dividends, interest payments, and other returns on investments.
Audit Support: Collaborate with internal and external auditors during financial and compliance audits. Provide necessary documentation and explanations for audit purposes.
Investment Analysis: Assist with investment analysis and performance measurement. Provide insights based on financial data to support investment decisions.
Stakeholder Reporting: Communicate financial results and fund performance to management and investors.
Qualifications: - Bachelor’s degree in accounting, Finance, or related field. - Certified Public Accountant (CPA) or Chartered Accountant (CA) certification preferred. - Minimum of 5 - 7 years of experience in accounting, with a strong focus on investment or fund accounting. - Proficient in accounting software and MS Office, particularly Excel. - Strong understanding of financial regulations and reporting requirements and preparation. - Excellent analytical, problem-solving, and organizational skills.