
Description:
Responsibilities:
- Planning & execution of all Capital Activity of the Funds - Drawdown and Distribution
- Preparation of financial statements in IND AS, Indian GAAP and IFRS; coordination with internal and external auditors
- Preparation of MIS for reporting to investors and management
- Timely preparation & control over Investor reporting - Holding and NAV statement; Quarterly report; periodic data requests from investors; Investor Due diligence requirements (incl checklists)
- Handling Investor queries and resolution for both institutional and HNI investors
- Income Tax - Issuance of Form 64C / Form 64D / TDS on distributions
- IFSCA / SEBI AIF Reporting on a quarterly basis on portal, Preparation of annual Compliance test report for submission to trustees, reporting on benchmark activity
- Maintain cordial relations with service providers; monitoring of SLAs with them
Requirements and Qualifications:
- Chartered Accountant with experience of 3 years post qualification;
- Experience in working with private equity / venture capital funds is essential;
- Experience for operations of a Credit/Debt Fund is essential
- Job location will be based out of Ahmedabad / Mumbai. Candidate to be flexible for travel to Mumbai / Ahmedabad
- Excellent communication skills
- Good understanding of the relevant regulations
- Should be well versed with processes and system
- Ability to work in a team
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