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04/10 Sejal
Director at Arin Consultancy Pvt. Ltd.

Views:111 Applications:18 Rec. Actions:Recruiter Actions:18

Fund Accountant - Private Equity Funds - CA (5-10 yrs)

Ahmedabad/Gujarat Job Code: 1163898

Fund Accountant Private Equity funds

Role and Responsibilities :

Fund Accounting :

- Managing Operations of Private Equity Funds (AIF/VCF).

- Reviewing the work of fund accounting team & guiding them in preparation of books of accounts.

- Reviewing books of investment Manager & assisting in audit of investment manager.

- Audit strategy - Audit planning and compliances with Audit requirement.

- Preparing the organization well in advance for Audit Requirements for Audit of Funds and Assist in various audits: PPM Audit, Internal Audit and Statutory Audit

- Knowledge of Entire Fund lifecycle

- Practically implemented distribution workings for Funds.

- Preparing & Projections of P&L numbers of Investment Manager.

- Coordinating with Investee Companies for timely payment of dues and sending timely reminders to them.

- Handling taxation of funds including return filing, payments, Assessments for Income Tax, TDS, GST.

- Coordinate processing of payments and other transactions.

- Co-ordination with distributor for finalizing commercials & execution of the agreement.

- Completing valuation of investments on timely basis.

- Handling compliance (15CA/CB) in respect of NRI investors while remitting money back.

- Resolving queries of distributors for new funds & making them understand key terms of fund.

- Prepare/Review calculations of carried interest/performance/incentive fees.

- Prepare/Review calculations and investor allocations for capital calls, distributions and equalizations.

- Prepare/Review partner capital account statements.

- Maintaining relationships with investors, investment advisors/managers, banks and auditors and other fund participants.

- Assisting auditors and other fund participants and advisers.

- Preparing various MIS for management review.

Compliance :

- SEBI/Other Compliances related to AIF/PMS/Investment Advisor license

- Reviewing fund documents like contribution agreement, PPM, Trust Deed, Investment Management Agreement & giving inputs on the same.

- SEBI reporting for AIFs (alternative investment funds) and VCFs (venture capital funds)

- RBI Compliances such as : InVi reporting, FC-TRS reporting and FLA Reporting

- Monitor applicable compliance requirements for Fund in Mauritius by closely working with the administrator in Mauritius

- Draft/ Prepare/ Review/ Annual Trustee Compliance Test Report

- Assistance on investor due diligence: AML/KYC checks, world check screening, FATCA compliances etc.

- Compliance with investment and exit process as per internal protocol Investor Servicing

- Work closely with the Investor Relations team to respond to investor queries and to disseminate capital activity and other investor notices

- Ensuring timely preparation of various statement for servicing investors

- Solving investors queries on timely basis

Educational Qualification & Experience :

- Chartered Accountants

- 5+ years of relevant experience with a Financial Service firm

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

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