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2.0 - 4.0 years

10 - 13 Lacs

gurugram

Work from Office

Financial Consulting Associate - Finance as a Service (Lease Accounting) Qualification- Chartered Accountant/CPA/Semi-qualified professional with 2-4 years of experience in lease accounting as per ASC 842/IFRS 16 with experience of bringing operational efficiencies and process optimization in that space. Candidate should have strong technical knowledge of US-GAAP/IFRS particularly with regard to lease accounting. Strong written and verbal communication skills. Strong analytical skills to interpret the data and engagement requirements. Proficient in Microsoft Office Suite (Excel, Word). Experience of working on diverse lease accounting tools (preferred) Responsibilities Perform high quality execution of lease accounting deliverables Participate in multiple engagements within the Technical Accounting Consulting practice to provide technical accounting and financial or business advisory guidance to U.S. based public clients Demonstrate intermediate knowledge of complex accounting concepts. Understand RSMs service lines and work as a team in providing an integrated service delivery. Provide timely, high quality client service that meets or exceeds client expectations including coordinating the development and execution of the consulting work plan and client deliverables Open to work on other solution sets considering business requirements. Assist in the preparation of financial statements and disclosures related to lease accounting. Support the development and implementation of new accounting policies and procedures. Key Skills: Maintains a high degree of quality and client relationship on multiple clients at the same time Positively engages, motivates, and influences team members Identifies client needs/requirements and initiates discussion to expand services through a solid understanding of the firms service capabilities and offerings Continuously seek opportunities for professional development and growth. Adapt to changing client needs and industry trends with agility and innovation.

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2.0 - 5.0 years

12 - 16 Lacs

bengaluru

Work from Office

CA or accounting graduate/postgraduate with 2-5 years of Record to report experience. Responsibilities: This is a hands-on position that requires transaction processing and account reconciliation skills. Duties include: Review monthly journal entries prepared by support staff for prepaid expenses, fixed asset, accrued expenses, payroll, and or inventory transactions, as applicable, in an accurate and timely manner Understands the purpose of reconciliations. Approves bank reconciliations and general ledger account reconciliations Prepare/Review clients monthly financial statements including month over month variance analysis and or actual to budget analysis Analyze and interpret financial information for client management and provide actionable insight and decision support Continuously identify opportunities to enhance the clients monthly operations make suggestions for process improvements Define and document repeatable methodologies with appropriate tools and templates that can be leveraged for future projects. Understand our technology stack and identify additional add-on processes, systems, modules and integrations that can drive month end close efficiencies. Qualifications A minimum of a Bachelor's in accounting or finance is required Excellent written and oral communication skills are a must (proactively communicates status, issues, conflicts, and priorities up, down and across the engagement team) Ability to balance multiple responsibilities simultaneously plus excellent analytical and decision making skills Experience in a public accounting firm, consulting firm or other professional services environment preferred but not required Proficiency utilizing Microsoft Office (Word, Excel, Outlook, etc.). Strong organizational skills along with the ability to meet deadlines. Ability to adapt to change effectively Experience with automated accounting systems (i.e. Intacct, NetSuite, Bill.com, Tallie) Blackline experience preferred Knowledge and understanding of GAAP Pursuing CPA or a CPA is preferred but not required

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2.0 - 4.0 years

16 - 20 Lacs

gurugram

Work from Office

Responsibilities Participate in and supervising multiple engagements within the Accounting and Finance Consulting (AFC) practice to provide technical accounting and financial or business advisory guidance to U.S. based private and public clients, Demonstrate strong knowledge of complex accounting concepts. Previous experience in managing large and small projects related to atleast 2 of IFRS Conversions, Business Combination (ASC-805), Consolidation (ASC -810), Revenue Recognition, IPO transaction support, carve outs, Fair Value Accounting, Lease Accounting, and VIE Analysis Work on drafting financial statements as per SEC regulations for IPO and other filings. Perform audit readiness support for complex accounting matters and provide services to U.S. based public clients. Work on projects entailing review of reporting and disclosure requirements applicable to registration statements filed with SEC and Rule 144A offerings. Working on Financial Statements disclosure checklists, SEC disclosure checklists for registration statements, drafts of sections of various SEC filings (e.g., MDA draft, etc) Candidate should have prior experience working in a capability centre delivery model for US clients. Qualifications Chartered Accountant/CPA with 2-4 years of technical accounting experience. Understanding of audit services with mediocre to in-depth knowledge of US GAAP and IFRS Experience (Intermediate to advanced level) with any or all of following GAAP standards preferred: ASC 280, 810, ASC 805, 323, 325, 480 preferred. IFRS 10, 9, 3, IAS 28, 32. Exposure on accounting and financial reporting of IPO vehicles like traditional IPOs, REITs, s or DeSPAC projects, business trusts, reverse recapitalisations etc. Experience with and familiarity with reporting and disclosure requirements applicable to registration statements filed with SEC and Rule 144A offerings. Advanced written and verbal communication skills Experience in drafting sections of Form F1, F4, 10-K, 10-Q, S-1, S4 PCAOB financial statement uplift and Audit Readiness assistance. Assist in the preparation and review of technical memos and other disclosures on engagements.

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1.0 - 4.0 years

10 - 14 Lacs

gurugram

Work from Office

Financial Consulting Senior Associate- Accounting & Finance Optimization Responsibilities Participate in and supervising multiple engagements within the Accounting and Finance Consulting (AFC) practice to provide technical accounting and financial or business advisory guidance to U.S. based private and public client Desirable Demonstrate strong knowledge of complex accounting concepts. Previous experience in working with large and small projects related to: GAAP Conversions, Business Combination (ASC-805), Consolidation (ASC -810), Revenue Recognition, IPO transaction support, carve outs, and Lease Accounting Essential: Work on drafting memos and preparing workbooks for merger and acquisition accounting (ASC 805). Work on drafting financial statements as per SEC regulations for IPO and other filings. Perform audit readiness support for complex accounting matters and provide services to U.S. based public clients. Working on Financial Statements disclosure checklists, SEC disclosure checklists for registration statements, drafts of sections of various SEC filings (e.g., MDA draft, etc) Candidate should have prior experience working in a capability centre delivery model for US clients. Qualitative demeanour: Open to stretching on working hours in periods of peak capital markets and merger & acquisition activity. Mindset and ability to own deliverables and make them review ready to ensure smooth review of deliverables. Team player with ability to partner and shoulder responsibilities within team and aid knowledge management. Qualification: Experience across Minimum 5 bullets points below Chartered Accountant/CPA with minimum of 1-4 years of technical accounting experience. Understanding of audit services with mediocre to in-depth knowledge of US GAAP and IFRS Experience (Intermediate to advanced level) with any or all of following GAAP standards preferred: ASC 805, 606, 842, 280, 810, 815, 718, 323, 325, 480 preferred. IFRS 3, 9, 10, IAS 28, 32. Experience in accounting for mergers and acquisitions (business combinations). Assist in the preparation and review of technical memos and other disclosures on engagements. Advanced written and verbal communication skills. Experience in drafting sections of Form F1, F4, 10-K, 10-Q, S-1, S4 PCAOB financial statement uplift and Audit Readiness assistance.

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10.0 - 15.0 years

13 - 18 Lacs

hyderabad

Work from Office

About this role: RSM is actively seeking talented Property accounting professionals who are characterized by high motivation, self-direction, strong analytical skills, and a track record of excellence in their previous roles. Are you an experienced property accounting professional on the hunt for an exciting career opportunity with a leading fund service provider that boasts a best-in-class technology platform and an end-to-end real estate service model? Do you aspire to deepen your technical expertise in intricate fund/property terminologies, address complex accounting challenges, and navigate the intricacies of real estate fund structures? Are you enthusiastic about engaging with and collaborating alongside a diverse range of clients? Are you in pursuit of a career that promises stimulating and diverse avenues for professional growth? If so, RSM's Fund Services + is the right fit for you! Specific Responsibilities: Assume ownership of the real estate property accounting, encompassing complete end-to-end responsibilities for property accounting. Prepare/review monthly/quarterly/annual workpapers and financial statements variance analysis. Ensure that proper accounting policies, procedures, and internal controls are maintained and that all financial transactions are recorded in accordance with GAAP requirements. Handle bookkeeping for entitys operations which includes cash booking, expense accruals, assets and depreciation accounting, leases, asset management fees, loan draw packages, CAM, commercial billing, AR aging, actual vs budget, acquisitions, dispositions, Lender compliance etc. Support with queries from client, property/fund accounting team, regulatory authorities and external auditors. Assist with onboarding new clients, setting up the entities, assets and build customized reports in line with clients reporting requirements. Create SOPs and checklists for various processes to ensure completeness, accuracy and timeliness. Work collaboratively with global team members to manage day-to-day operations, implemented month-end close processes and provide client servicing. Offer mentorship and guidance to new or junior team members. Qualifications RSM seeks to hire individuals who are highly motivated, self-driven, analytical and have demonstrated excellence in prior endeavors. 10+ years of experience in property accounting domain with fund managers or fund administrators or public accounting firms Ability to interpret/applying the financial and operational terms of Property related agreements and Structures for RE entities. Undergraduate degree in accounting CPA and/or CA preferred Proficient knowledge of Property accounting platforms (Yardi and MRI knowledge is a large PLUS!) Strong analytical skills, detail oriented and highly organized Demonstrates a strong work ethic, team player, upholds personal and professional integrity, and maintains a positive attitude. Possesses effective oral and written communication skills, as well as influencing skills and leadership capabilities. Adapts well to dynamic, fast-paced environments and excels at managing multiple projects simultaneously.

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2.0 - 7.0 years

14 - 18 Lacs

gurugram

Work from Office

RSM is looking for a Senior Associate to join our Financial Consulting (FC) practice with a focus on governance and compliance. Key Responsibilities: Conduct ongoing monitoring of the firms System and Organization Controls (SOC), including review of documentation, workpapers, and client deliverables Perform risk-based assessments and evaluate thedesign and operating effectiveness of internal controls, including those related toback-office accounting and treasury functions, financial reporting, investor reporting, and user access Develop and maintain internal control documentation related to standard operating procedures, including process and data flows, control narratives, etc. Evaluate how quality risks are mitigated through the control environment and identify opportunities for improvements to operating processes and controls Communicate objectives, status, and findings to leadership and key stakeholders Assist with the annual System and Organization Controls (SOC) 1 Type 2 examination of the firm by its independent auditors to gather requested support from Engagement Teams and respond to auditor inquiries Participate in various quality initiatives including coaching FC Engagement Leaders and Teams on selected consulting quality topics to assist in improving quality objectives Develop and deliver continuing professional education courses for FC Engagement Leaders and Teams Perform other monitoring and quality initiatives as directed by the FC Governance Committee, National Office of Risk Management (NORM) Leader, and/or Consulting Quality and Risk Management (CQRM) Leader Collaborate with other RSM teams to streamline operations in delivering services across multiple lines of business, service lines, and locations internationally Required Qualifications: Bachelors degree in Accounting, Finance, Management Information Systems, or a related discipline 2+ years of Accounting or Audit experience Proficient knowledge of Microsoft Office Suite (Excel, Word, PowerPoint) Expertise in process analysis and optimization to mitigate risk and improve operational efficiency Strong analytical skills, detail oriented, and highly organized Strong work ethic, personal and professional integrity, and a positive attitude Ability to work in a dynamic, fast-paced environment and handle multiple projects Strong interpersonal skills with the ability to work collaboratively with all levels as well as independently in a remote team environment Strong oral and written communication and influencing skills Ability to adapt quickly to change in the firm and regulatory environment Preferred Qualifications: Experience in a public accounting firm, consulting firm, or other professional services environment Proficient knowledge of Allvue, Yardi, Sage Intacct, NetSuite, BlackLine, or other accounting software systems Background in fund accounting, corporate accounting, and/or property accounting CPA and/or CA.

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10.0 - 15.0 years

18 - 22 Lacs

hyderabad

Work from Office

Qualification : CA or other accounting graduate/postgraduate with minimum 10 years of Record to report experience. Candidate should have good knowledge of accounting concepts. Advanced written and verbal communication skills. Strong analytical skills to interpret the data and engagement requirements. Proficiency utilizing Microsoft Office (Word, Excel, Outlook, etc.) Experience with automated accounting systems (i.e. Intacct, NetSuite, Blackline, Bill.com, Tally) Blackline experience is preferred Responsibilities Key point of contact for our clients Purchase to Pay, Order to Cash and Month End Close cycles Lead, manage and coach client services representatives and associates Review monthly journal entries prepared by support staff for prepaid expenses, fixed asset, accrued expenses, payroll, and / or inventory transactions, as applicable, in an accurate and timely manner Understands the purpose of reconciliations. Approves bank reconciliations and general ledger account reconciliations Prepare/Review clients monthly financial statements including month over month variance analysis and / or actual to budget analysis Analyse and interpret financial information for client management and provide actionable insight and decision support Continuously identify opportunities to enhance the clients monthly operations make suggestions for process improvements Define and document repeatable methodologies with appropriate tools and templates that can be leveraged for future projects. Understand our technology stack and identify additional add-on processes, systems, modules, and integrations that can drive month end close efficiencies. Should have minimum 5 years of experience in managing the project team. Strong knowledge and experience in transitioning the process.

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8.0 - 13.0 years

32 - 37 Lacs

bengaluru

Work from Office

We are looking to hire a Director of Business Valuation with a focus Complex Financial Instruments (CFI) to be part of our Valuation Team. We offer the opportunity to work on a wide variety of challenging projects that will provide exposure to financial analysis, business and financial modeling and forecasting, and valuations focusing on complex financial instruments and derivatives, including, convertible instruments, embedded derivatives, earn-outs, interest rate derivatives, common and preferred stock and other securities along with private debt instruments, options, warrants, and other derivative products. These services are provided to assist clients with mergers, acquisitions; venture financing and public offerings (IPOs); taxation planning and compliance; financial reporting; and strategic planning. We also support assurance and tax clients pursuant to their valuation needs. Overall Responsibilities: Establish and maintain an effective sales and marketing process in the Valuation practice area including the following items. Specific growth goals will be established and incorporated in key goals Maintaining an established referral network Networking with peers in other geographic markets and in other areas of assurance, tax and business consulting Contributing thought leadership in practice area Primary advisor to clients/manage CFI engagement team members Manager/Oversee/Train/develop other CFI valuation professionals Specific Responsibilities: Develop and maintain strong relationships with centers of influence and professionals Effectively manage overall client relationships to exceed client satisfaction Manage the fundamentals (i.e. realization, utilization, leverage, accounts, receivable, and expenses) Be a thought leader Mentor, coach and train staff Successfully integrate strategy of the firm Heighten the RSM brand by demonstrating thought leadership and embracing the RSM marketing campaign and programs supported by the firm Promote cross selling and integrating of service line of business and more Qualifications Education: Bachelor's Degree in a Quantitative Field (Math, Financial Mathematics, Quantitative Finance or related area of study) preferred; MBA or other Masters a plus Professional Certifications: ABV/CPA, ASA or CFA Experience valuing complex financial instruments Experience with Option Pricing Models, Monte Carlo and Binomial Models Experience in Monte Carlo programs (@risk, Crystal Ball), Lattice models, coding (MatLab, R, etc.), Bloomberg, etc. Practice development and management, marketing and thought leadership as it relates to complex financial instruments Successful candidate will have experience in managing client relationships and leveraging them to sell Firm solutions Ability to exceed client expectations in a sophisticated large consulting or accounting firm environment. Experience with a "Big 4" or national consulting firm providing valuation services including valuation for financial reporting and tax reporting Demonstrated ability to develop business and a productive referral network 8+ years in Management/Leadership/Supervisory experience Database experience with Capital IQ Proficiency with Microsoft Excel, Word, and PowerPoint Flexibility to travel to clients and other RSMs offices Demonstrated ability to work independently to gather facts, organize data, analyze financial statements and other financial data, and identify relevant issues

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2.0 - 4.0 years

19 - 22 Lacs

gurugram

Work from Office

Experience across Minimum 5 bullets points below Chartered Accountant/CPA with 2-4 years of technical accounting experience. Understanding of audit services with mediocre to in-depth knowledge of US GAAP and IFRS Experience (Intermediate to advanced level) with any or all of following GAAP standards preferred: ASC 280, 810, 470, 815, 825, 860, ASC 805, 323, 325, 480 preferred. IFRS 10, 9, 3, IAS 28, 32. Exposure on accounting and financial reporting of IPO vehicles like traditional IPOs, REITs, SPACs or DeSPAC projects, business trusts, reverse recapitalisations etc. Experience with and familiarity with reporting and disclosure requirements applicable to registration statements filed with SEC and Rule 144A offerings. Advanced written and verbal communication skills Experience in drafting sections of Form F1, F4, 10-K, 10-Q, S-1, S4 PCAOB financial statement uplift and Audit Readiness assistance. Assist in the preparation and review of technical memos and other disclosures on engagements. Responsibilities Demonstrate strong knowledge of complex accounting concepts. Previous experience in managing large and small projects related to atleast 2 of IFRS Conversions, Business Combination (ASC-805), Consolidation (ASC -810), Revenue Recognition, IPO transaction support, carve outs, Fair Value Accounting, Lease Accounting Work on drafting financial statements as per SEC regulations for IPO and other filings. Perform audit readiness support for complex accounting matters and provide services to U.S. based public clients. Work on projects entailing review of reporting and disclosure requirements applicable to registration statements filed with SEC and Rule 144A offerings. Working on Financial Statements disclosure checklists, SEC disclosure checklists for registration statements, drafts of sections of various SEC filings (e.g., MDA draft, etc) Candidate should have prior experience working in a capability centre delivery model for US clients

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4.0 - 6.0 years

13 - 18 Lacs

hyderabad

Work from Office

CA or accounting graduate/postgraduate with 4-6 years of Record to report experience. Responsibilities: This is a hands-on position that requires transaction processing and account reconciliation skills. Duties include: Review monthly journal entries prepared by support staff for prepaid expenses, fixed asset, accrued expenses, payroll, and / or inventory transactions, as applicable, in an accurate and timely manner Understands the purpose of reconciliations. Approves bank reconciliations and general ledger account reconciliations Prepare/Review clients monthly financial statements including month over month variance analysis and / or actual to budget analysis Analyze and interpret financial information for client management and provide actionable insight and decision support Continuously identify opportunities to enhance the clients monthly operations make suggestions for process improvements Define and document repeatable methodologies with appropriate tools and templates that can be leveraged for future projects. Understand our technology stack and identify additional add-on processes, systems, modules and integrations that can drive month end close efficiencies. Qualifications A minimum of a Bachelor's in accounting or finance is required Excellent written and oral communication skills are a must (proactively communicates status, issues, conflicts, and priorities up, down and across the engagement team) Ability to balance multiple responsibilities simultaneously plus excellent analytical and decision making skills Experience in a public accounting firm, consulting firm or other professional services environment preferred but not required Proficiency utilizing Microsoft Office (Word, Excel, Outlook, etc.). Strong organizational skills along with the ability to meet deadlines. Ability to adapt to change effectively Experience with automated accounting systems (i.e. Intacct, NetSuite, Bill.com, Tallie) Blackline experience preferred Knowledge and understanding of GAAP Pursuing CPA or a CPA is preferred but not required

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5.0 - 10.0 years

15 - 19 Lacs

bengaluru

Work from Office

Key responsibilities Lead the implementation and onboarding of new clients within the RSM Accounting Financial Consulting (AFC) practice. Lead client design sessions to analyze requirements and redesign business processes in connection with AFC best practices in areas such as chart of account redesign, procure to pay, order to cash, record to report. Perform solution design in connection with the implementation of the FaaS-AFC technology stack, including NetSuite, BILL, Tallie and BlackLine. Lead client facing training sessions of AFC technology solutions. Oversee and mentor team members. Collaborate with cross-functional teams throughout the implementation project to achieve business goals, including Project Management team, AFC technology support team, AFC client accounting team and other lines of business within RSM. Define and document repeatable methodologies with appropriate tools and templates that can be leveraged for future projects. Continuously identify opportunities to enhance the customer onboarding experience and collaborate with team members to successfully implement improvements. Actively assist with other project-based initiatives on an ad-hoc basis, including quality control review and technology/process optimization of current client base. Optimize use of Oracle NetSuite system through the following activities: Business process evaluation Procedure development System process flow and requirements QA planning and testing Creation and oversight of documentation related to standard operating procedures. User training development and deployment Production support for problems and enhancements resulting from quarterly product releases. Ensures adequate communication and proper integration across entirety of AFC practice and our technology partners. Provide technical support to end-users to resolve issues with Oracle NetSuite use, including escalation through proper channels within RSM and with Oracle NetSuite support. Perform other duties/projects as required. Required qualifications Bachelors degree in accounting, Finance, MIS or IT Have 5+ years of Oracle NetSuite experience in either an IAP or VAR practice. Experience leading implementations of Oracle NetSuite Oracle NetSuite SuiteFoundation Certified Oracle NetSuite Certified Administrator Experience with SuiteFlow Expertise in process analysis and redesign of business processes Excellent communication and presentation skills Strong time management and organizational skills with sensitivity to timeframes, budgets and outcomes across multiple clients and projects Ability to prioritize and stay organized/focused in a dynamic, multi-tasking environment with competing demands. Strong technology skills and ability to quickly learn and use new technology software applications. Dedication to lifelong learning, including staying abreast of best practices in financial management enabled by technology. Strong Microsoft Office skills Preferred qualifications Oracle NetSuite Certified ERP Consultant Oracle NetSuite Certified Financial User Experience with SuiteScript and SuiteCommerce Experience with NetSuite OneWorld, Advanced Revenue Management, and Inventory Management Experience with BILL, Tallie, BlackLine will be an added advantage Experience in a public accounting firm, consulting firm or other professional services environment Experience in an outsourced accounting role CA, CPA, MBA Finance

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3.0 - 8.0 years

14 - 19 Lacs

gurugram

Work from Office

Business Practice Overview : RSMs Fund Services+ within our Financial Consulting practice is a dedicated team of experienced professionals who specialize in providing managed services to Private Equity Groups (PEGs) for fund administration and accounting, helping to navigate technical accounting challenges, assisting with financial reporting requirements, and supporting Management to improve the effectiveness and efficiency of their accounting and finance functions through an integrated, streamlined technology platform. With our blend of deep technical knowledge, private equity industry experience, and fund accounting know-how, we can provide an integrated team of fund administrators, valuation and tax specialists, and other subject matter experts who can help manage the day-to-day back-office functions for Private Equity Groups and their funds. Its a global integrated team with transactional to strategic capabilities and comprehensive areas of specialization drawing on our entire RSM market leading organization. About this role: Are you a fund accounting professional searching for an exciting opportunity with fund service provider that has best-in-class technology platform and end to end fund service model for the private markets? Are you looking to enhance your technical knowledge of complex fund terms, technical accounting issues and fund structures in the private equity industry while serving and collaborating with diverse set of clients? Are you looking for a career that will provide you with interesting and varied professional growth opportunities? If so, RSM's Fund Services + is the right fit for you! Qualifications RSM seeks to hire individuals who are highly motivated, intelligent and have demonstrated excellence in prior endeavors. 3+ years of Big 4 or national accounting firms fund accounting experience in the private equity industry Ability to interpret/applying the financial and operational terms of Limited Partnership Agreements for private equity funds Undergraduate degree in accounting CPA and/or CA preferred Proficient knowledge of Microsoft Office Suite (Excel, Word, PowerPoint) Allvue knowledge a large PLUS! Proficient knowledge of fund accounting software (Investran, E-Front, etc.) Strong analytical skills, detail oriented and highly organized Possesses a strong work ethic, personal and professional integrity, and a positive attitude Strong oral and written communication and influencing skills Ability to work in a dynamic, fastpaced environment and handle multiple projects Specific Responsibilities: Prepare quarterly and annual financial statements, financial statement footnotes, quarterly accounting workpaper packages and investor reporting packages Prepare/facilitate the day-to-day operating activities for private equity and real estate fund administration clients, including cash management, wire setup, management fees, carried interest/waterfall calculations, subsequent closes, credit facility maintenance, deal funding, and expense payments Become an expert user in the firms fund administration technology platform Assist with onboarding new clients, setting up the firms investors, investments, new reports, LP reporting portal, etc. Prepare / facilitate capital calls and distribution calculations and execute these processes in the technology platform Maintain and update investor data as needed Respond to adhoc inquiries from clients and limited partners Coordinate with the clients external auditors and tax providers to assist with the year end audits and tax return information that is needed Once established help to train other new/junior level staff members

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4.0 - 8.0 years

12 - 16 Lacs

gurugram

Work from Office

Responsibilities Preparation of various types of MIS reports and database as per client requirement Invoice abstraction for payment details in client tool or in Excel template Lease abstraction and its accounting as per new FASB/IASB Guidelines related to ASC- 842 and IFRS 16 Understand RSMs service lines and work as a team in providing an integrated service delivery Collaborate directly with firm specialists/subject matter experts on complex accounting matters Provide timely, high quality client service that meets or exceeds client expectations including coordinating the development and execution of the consulting work plan and client deliverables Open to work on other solution sets considering business requirements Qualifications CA Intermediate (not pursuing final)/ MBA Finance/BBA/B.Com With minimum 6 months of experience. Candidate should not have any immediate plan to pursue post-graduation or further studies Candidate should have knowledge about general Accounting Advanced written and verbal communication skills Strong analytical skills to interpret the data and engagement requirements Participate in multiple engagements within the Technical Accounting Consulting practice to provide technical accounting and financial or business advisory guidance to clients Demonstrate basic to intermediate knowledge of accounting concepts

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2.0 - 7.0 years

9 - 14 Lacs

gurugram

Work from Office

Business Practice Overview: RSMs Fund Services+ within our Financial Consulting practice is a dedicated team of experienced professionals who specialize in providing managed services Real Estate Groups for fund administration, helping to navigate end to end property technical accounting, assisting with financial reporting requirements, fund performance measurements and supporting Management to improve the effectiveness and efficiency of their accounting and finance functions through an integrated, streamlined technology platform. With our blend of deep technical knowledge, real estate industry experience, and property accounting know-how, we can provide an integrated team of fund administrators, valuation and tax specialists, and other subject matter experts who can help manage the day-to-day back-office functions for Real Estate funds. Its a global integrated team with transactional to strategic capabilities and comprehensive areas of specialization drawing on our entire RSM market leading organization. About this role: RSM is actively seeking talented Property accounting professionals who are characterized by high motivation, self-direction, strong analytical skills, and a track record of excellence in their previous roles. Are you an experienced property accounting professional on the hunt for an exciting career opportunity with a leading fund service provider that boasts a best-in-class technology platform and an end-to-end real estate service model? Specific Responsibilities: Assume ownership of the real estate property accounting, encompassing complete end-to-end responsibilities for property accounting. Prepare/review monthly/quarterly/annual workpapers and financial statements variance analysis. Ensure that proper accounting policies, procedures, and internal controls are maintained and that all financial transactions are recorded in accordance with GAAP requirements. Handle bookkeeping for entitys operations which includes cash booking, expense accruals, assets and depreciation accounting, leases, asset management fees, loan draw packages, CAM, commercial billing, AR aging, actual vs budget, acquisitions, dispositions, Lender compliance etc. Support with queries from client, property/fund accounting team, regulatory authorities and external auditors. Assist with onboarding new clients, setting up the entities, assets and build customized reports in line with clients reporting requirements. Create SOPs and checklists for various processes to ensure completeness, accuracy and timeliness. Work collaboratively with global team members to manage day-to-day operations, implemented month-end close processes and provide client servicing. Offer mentorship and guidance to new or junior team members. Qualifications RSM seeks to hire individuals who are highly motivated, self-driven, analytical and have demonstrated excellence in prior endeavors. 2+ years of experience in property accounting domain with fund managers or fund administrators or public accounting firms Ability to interpret/applying the financial and operational terms of Property related agreements and Structures for RE entities. Undergraduate degree in accounting CPA and/or CA preferred Proficient knowledge of Property accounting platforms (Yardi and MRI knowledge is a large PLUS!) Strong analytical skills, detail oriented and highly organized Demonstrates a strong work ethic, team player, upholds personal and professional integrity, and maintains a positive attitude. Possesses effective oral and written communication skills, as well as influencing skills and leadership capabilities. Adapts well to dynamic, fast-paced environments and excels at managing multiple projects simultaneously.

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3.0 - 8.0 years

14 - 18 Lacs

hyderabad

Work from Office

Business Practice Overview : RSMs Fund Services+ within our Financial Consulting practice is a dedicated team of experienced professionals who specialize in providing managed services to Private Equity Groups (PEGs) for fund administration and accounting, helping to navigate technical accounting challenges, assisting with financial reporting requirements, and supporting Management to improve the effectiveness and efficiency of their accounting and finance functions through an integrated, streamlined technology platform. With our blend of deep technical knowledge, private equity industry experience, and fund accounting know-how, we can provide an integrated team of fund administrators, valuation and tax specialists, and other subject matter experts who can help manage the day-to-day back-office functions for Private Equity Groups and their funds. Its a global integrated team with transactional to strategic capabilities and comprehensive areas of specialization drawing on our entire RSM market leading organization. About this role: Are you a fund accounting professional searching for an exciting opportunity with fund service provider that has best-in-class technology platform and end to end fund service model for the private markets? Qualifications RSM seeks to hire individuals who are highly motivated, intelligent and have demonstrated excellence in prior endeavors. 3+ years of Big 4 or national accounting firms fund accounting experience in the private equity industry Ability to interpret/applying the financial and operational terms of Limited Partnership Agreements for private equity funds Undergraduate degree in accounting CPA and/or CA preferred Proficient knowledge of Microsoft Office Suite (Excel, Word, PowerPoint) Allvue knowledge a large PLUS! Proficient knowledge of fund accounting software (Investran, E-Front, etc.) Strong analytical skills, detail oriented and highly organized Possesses a strong work ethic, personal and professional integrity, and a positive attitude Strong oral and written communication and influencing skills Ability to work in a dynamic, fastpaced environment and handle multiple projects Specific Responsibilities: Prepare quarterly and annual financial statements, financial statement footnotes, quarterly accounting workpaper packages and investor reporting packages Prepare/facilitate the day-to-day operating activities for private equity and real estate fund administration clients, including cash management, wire setup, management fees, carried interest/waterfall calculations, subsequent closes, credit facility maintenance, deal funding, and expense payments Become an expert user in the firms fund administration technology platform Assist with onboarding new clients, setting up the firms investors, investments, new reports, LP reporting portal, etc. Prepare / facilitate capital calls and distribution calculations and execute these processes in the technology platform Maintain and update investor data as needed Respond to adhoc inquiries from clients and limited partners Coordinate with the clients external auditors and tax providers to assist with the year end audits and tax return information that is needed Once established help to train other new/junior level staff members

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1.0 - 4.0 years

9 - 13 Lacs

gurugram

Work from Office

Responsibilities Participate in and supervising multiple engagements within the Accounting and Finance Consulting (AFC) practice to provide technical accounting and financial or business advisory guidance to U.S. based private and public client Desirable Demonstrate strong knowledge of complex accounting concepts. Previous experience in working with large and small projects related to: GAAP Conversions, Business Combination (ASC-805), Consolidation (ASC -810), Revenue Recognition, IPO transaction support, carve outs, and Lease Accounting Essential: Work on drafting memos and preparing workbooks for merger and acquisition accounting (ASC 805). Work on drafting financial statements as per SEC regulations for IPO and other filings. Perform audit readiness support for complex accounting matters and provide services to U.S. based public clients. Working on Financial Statements disclosure checklists, SEC disclosure checklists for registration statements, drafts of sections of various SEC filings (e.g., MDA draft, etc) Candidate should have prior experience working in a capability centre delivery model for US clients. Qualitative demeanour: Open to stretching on working hours in periods of peak capital markets and merger & acquisition activity. Mindset and ability to own deliverables and make them review ready to ensure smooth review of deliverables. Team player with ability to partner and shoulder responsibilities within team and aid knowledge management. Qualification: Experience across Minimum 5 bullets points below Chartered Accountant/CPA with minimum of 1-4 years of technical accounting experience. Understanding of audit services with mediocre to in-depth knowledge of US GAAP and IFRS Experience (Intermediate to advanced level) with any or all of following GAAP standards preferred: ASC 805, 606, 842, 280, 810, 815, 718, 323, 325, 480 preferred. IFRS 3, 9, 10, IAS 28, 32. Experience in accounting for mergers and acquisitions (business combinations). Assist in the preparation and review of technical memos and other disclosures on engagements. Advanced written and verbal communication skills. Experience in drafting sections of Form F1, F4, 10-K, 10-Q, S-1, S4 PCAOB financial statement uplift and Audit Readiness assistance.

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6.0 - 10.0 years

0 Lacs

kolkata, west bengal

On-site

Grant Thornton is a collaborative, entrepreneurial, and dynamic global organization with over 62,000 people across 135 countries. Grant Thornton LLP is the U.S. member firm of Grant Thornton International Ltd., a leading organization of independent audit, tax, and advisory firms. With revenues exceeding $1.87 billion, Grant Thornton operates in 58 offices across the U.S. and has a Shared Services Center in Bangalore and Kolkata, India. GT INDUS, the in-house offshore center for GT US, is located in Bangalore and has over 2000 professionals in various functions. At GT INDUS, empowered professionals provide distinctive client service and support, fostering a culture of excellence and innovation. The firm offers a transparent and competitive work environment, encouraging professional growth and community engagement. We are looking for a Manager to join our Accounting Advisory Services team. The ideal candidate will have a strong background in accounting and finance, with a proven track record of delivering high-quality advisory services. As a Manager, you will lead engagements, manage client relationships, and contribute to the growth of the practice. Key Responsibilities: Engagement Management: - Lead and manage multiple accounting advisory engagements, ensuring high-quality services within established timelines and budgets. - Develop and maintain strong relationships with US engagement teams, serving as a trusted advisor. Technical Expertise and Advisory: - Provide guidance on complex accounting issues such as revenue recognition, lease accounting, and financial instruments. - Assist clients with the implementation of new accounting standards and preparation of financial statements. Team Leadership and Development: - Supervise, mentor, and develop junior team members, fostering continuous learning and professional growth. - Promote a collaborative work environment, encouraging teamwork and knowledge sharing. Skills Required: Education and Certifications: - Bachelor's degree in Accounting, Finance, or related field; advanced degree preferred. - CPA, CA, or equivalent professional certification required. Experience: - 6-8 years of relevant experience in accounting advisory, audit, or financial consulting. - Strong technical accounting knowledge and experience with IFRS, US GAAP, and other accounting standards. Skills: - Excellent communication, presentation, and interpersonal skills. - Strong analytical and problem-solving abilities. - Proficiency in Microsoft Office Suite; experience with accounting software and ERP systems is a plus. - Ability to manage multiple priorities and thrive in a fast-paced environment. Join Grant Thornton INDUS, a collaborative and excellence-driven firm that values personal growth and community service.,

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5.0 - 9.0 years

0 Lacs

delhi

On-site

The role available is for a Chartered Accountant - Consulting at a mid-sized CA Firm located in New Delhi. As a Chartered Accountant, you will be responsible for offering financial consulting services, managing client accounts, preparing financial reports, conducting audits, ensuring compliance with financial regulations, and providing advice on tax-related matters. Your duties will also include analyzing financial data, budgeting, forecasting, and engaging in strategic financial planning to assist clients in achieving their financial objectives. To excel in this role, you should possess skills in financial consulting, client management, and financial reporting. Experience in conducting audits, ensuring financial compliance, and a good understanding of tax regulations are essential. Proficiency in financial data analysis, budgeting, forecasting, and strategic financial planning is required. Additionally, strong communication, interpersonal skills, the ability to work both independently and collaboratively are necessary. Previous experience in the finance or consulting industry would be advantageous. The ideal candidate should hold a Chartered Accountant qualification, relevant certifications, or an equivalent qualification. If you meet these qualifications and are looking to apply your financial expertise in a dynamic consulting environment, this opportunity may be a perfect fit for you.,

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3.0 - 7.0 years

0 Lacs

karnataka

On-site

As a Certified Public Accountant (CPA) with USA certification, your role at our accounting firm based in India will involve providing comprehensive accounting, taxation, auditing, and financial consulting services to our US-based clientele. You will be responsible for ensuring compliance with US GAAP, IRS guidelines, and regulatory standards while maintaining strong client relationships and delivering high-quality services. Your key responsibilities will include preparing, reviewing, and analyzing financial statements, handling US federal and state tax returns, managing financial audits and regulatory compliance assessments, and providing tax planning and financial strategy consultations to clients. Additionally, you will be expected to stay updated on US tax laws, accounting standards, and regulatory compliance requirements, and mentor junior accountants while collaborating with cross-functional teams and external auditors. To excel in this role, you must hold a CPA (USA) certification, possess a Bachelors or Masters degree in Accounting, Finance, or a related field, and have a minimum of 3-5 years of experience working directly with US accounting and taxation. Proficiency in US GAAP, tax laws, IRS regulations, and accounting software is essential, with prior experience in managing audits, financial reporting, and compliance assessments for US clients being advantageous. Key skills required for this role include exceptional analytical, critical thinking, and problem-solving abilities, strong communication and interpersonal skills, attention to detail, project management skills, and client relationship management capabilities. You should be self-motivated, able to work independently and collaboratively in a remote/hybrid environment, and have flexible working hours aligned with US time zones. In return, we offer a competitive salary based on your experience and expertise, along with performance bonuses and growth opportunities. If you are looking for a challenging role that allows you to utilize your US accounting knowledge and skills while working with a diverse client base, we encourage you to apply for this position.,

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2.0 - 6.0 years

0 Lacs

jaipur, rajasthan

On-site

You will be responsible for pitching the company's financial vision and value proposition to investors and stakeholders, creating high-impact PowerPoint presentations that clearly communicate growth strategy and performance, and analyzing market trends, financial data, and industry dynamics to support investor messaging. Additionally, you will build and manage strong relationships with investors, shareholders, and financial institutions, lead the deal process from initial pitch through negotiation to successful closure, and communicate effectively across all levels, including C-suite and external partners. To qualify for this role, you should have a Bachelor's degree in Finance, Business, or a related field (MBA/CFA preferred), along with 2+ years of experience in financial consulting, investment banking, or investor relations. Strong knowledge of market trends and financial modeling, exceptional communication and presentation skills, and a proven track record of closing investment or funding deals are essential. Proficiency in PowerPoint and Excel is also required.,

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3.0 - 7.0 years

0 Lacs

dehradun, uttarakhand

On-site

The position of Assistant/Associate Finance at the School of Business at DBS Global University is a full-time opportunity focused on Corporate Finance, FINTECH, Financial Consulting, Banking, and Investments. As a faculty member, you will be expected to combine academic expertise with practical industry experience to contribute to the institution's aim of providing innovative education and impactful research. Your responsibilities will include teaching finance courses at both undergraduate and postgraduate levels, ensuring that the curriculum aligns with current industry trends and technological advancements. Additionally, you will be involved in conducting high-quality research, supervising student projects, and participating in departmental activities. Building industry partnerships and collaborating with external stakeholders will also be part of your role, along with contributing to the development of executive education programs. To qualify for this position, you must hold a Master's degree in Finance, Accounting, Business, or a related field. A professional certification such as Chartered Accountant (CA) would be advantageous. Demonstrated experience in financial services, Corporate Finance, FINTECH, or financial consulting is essential, along with strong communication and interpersonal skills. Preferred qualifications include a Ph.D. in Finance, industry experience, prior academic teaching or corporate training background, and familiarity with financial technology tools, platforms, or data analytics. If you meet these qualifications and are enthusiastic about shaping the future of finance education, we encourage you to apply for this exciting opportunity at DBS Global University.,

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2.0 - 6.0 years

0 Lacs

kolkata, west bengal

On-site

You are seeking a dynamic and experienced Senior Associate for the Accounting Advisory Services team at Grant Thornton INDUS. The ideal candidate will have a strong background in accounting and finance, with a proven track record of delivering high-quality advisory services. As a Senior Associate, your key responsibilities will include leading and managing multiple accounting advisory engagements to ensure the delivery of high-quality services within established timelines and budgets. You will also be responsible for developing and maintaining strong relationships with the US engagement teams, serving as a trusted advisor and key point of contact. Identifying and addressing client needs by providing tailored solutions and recommendations will be a crucial part of your role. In terms of technical expertise and advisory, you will provide guidance on complex accounting issues such as revenue recognition, lease accounting, financial instruments, and business combinations. You will assist clients and the US engagement teams with the implementation of new accounting standards and the preparation of financial statements. Additionally, staying current on emerging accounting and regulatory developments through technical research will be essential. To qualify for this position, you should hold a Bachelor's degree in Accounting, Finance, or a related field, with an advanced degree being preferred. Professional certifications such as CPA, CA, or equivalent are required. You should have a minimum of 2-3 years of relevant experience in accounting advisory, audit, or financial consulting, preferably with a Big Four or leading professional services firm. Strong technical accounting knowledge and experience with IFRS, US GAAP, and/or other relevant accounting standards are necessary. Demonstrated experience in managing client engagements and leading teams is also a key requirement. The ideal candidate will possess excellent communication, presentation, and interpersonal skills, along with strong analytical and problem-solving abilities. Proficiency in the Microsoft Office Suite is expected, and experience with accounting software and ERP systems is a plus. You should have the ability to manage multiple priorities and thrive in a fast-paced environment. Grant Thornton INDUS offers various benefits to its full-time employees, including insurance benefits, wellness programs, parental support, mobility benefits, and retirement benefits. Grant Thornton INDUS is a collaborative and excellence-driven firm that provides an opportunity to be part of something significant. As a professional at Grant Thornton INDUS, you will have the chance to serve communities in India through inspirational and generous services, contributing to building trust and making business more personal.,

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1.0 - 5.0 years

0 Lacs

delhi

On-site

The Senior Executive - Fixed Asset Management position at AOUT Advisors is a full-time, on-site role based in New Delhi. As the Senior Executive, you will be tasked with managing and accounting for the organization's fixed assets. Your responsibilities will include asset tagging, physical verification, asset reconciliation, monitoring asset movements, preparing asset reports, and collaborating with other departments to ensure accurate asset tracking and reporting. It is crucial for you to ensure compliance with relevant policies and regulations. To qualify for this role, you should hold a Bachelor's degree in Accounting, Finance, or a related field. Additionally, candidates with a Graduate or MBA Finance degree or those who are Semi Qualified with a minimum of 1 year of experience will be considered. The ideal candidate will have experience in Fixed Asset Management, including asset tagging, physical verification, and asset tracking. Strong accounting skills, familiarity with asset reconciliation, proficiency in preparing detailed asset reports, and maintaining records are essential for this role. Knowledge of relevant policies and regulations related to asset management is also required. Moreover, excellent communication and interpersonal skills, strong analytical and problem-solving abilities, and the capacity to work both independently and collaboratively within a team are crucial for success in this role. While previous experience in a similar position is preferred, individuals who meet the qualifications and demonstrate the necessary skills are encouraged to apply.,

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6.0 - 9.0 years

12 - 16 Lacs

bengaluru

Work from Office

We are looking for a highly skilled and experienced Financial Consulting Senior Associate to join our team at RSM Delivery Center (India) Private Limited. The ideal candidate will have 6-9 years of experience in the field. Roles and Responsibility Collaborate with cross-functional teams to deliver high-quality financial consulting services. Conduct market research and analyze data to provide insights on industry trends. Develop and implement financial models to support business decisions. Prepare presentations and reports for senior management and clients. Build strong relationships with clients and stakeholders. Identify and mitigate risks associated with financial projects. Job Requirements Strong understanding of financial concepts, including accounting, economics, and finance. Excellent analytical and problem-solving skills with attention to detail. Effective communication and interpersonal skills, with the ability to work in a team. Proficiency in financial software and tools, such as Excel and PowerPoint. Ability to prioritize tasks and manage multiple projects simultaneously. Strong organizational and time management skills, with the ability to meet deadlines.

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7.0 - 12.0 years

14 - 18 Lacs

bengaluru

Work from Office

Position Summary: We are seeking a highly experienced and detail-oriented Supervisor US Payroll to diligently lead team members for our US Payroll operations. This role will oversee end-to-end payroll processing, ensure compliance with federal and state regulations, interact with the necessary workgroups to ensure a smooth payroll, and handle employee inquires related to payroll. . The ideal candidate will bring a strong understanding of payroll systems, payroll taxation, best practices , and team leadership. Key Responsibilities: Oversee and assist with the accurate and timely processing of US payroll, including regular, off-cycle, and bonus runs. Ensure compliance with all federal, state, and local payroll regulations, including IRS and DOL/FLSA requirements. Oversee and support payroll schedules, tax filings, W-2 issuance, and year-end reconciliations. Coordinate with HR and Benefits teams to execute employee data changes, benefits, and deductions. Support payroll audits and provide documentation for internal and external stakeholders. Lead and mentor a team of payroll specialists Provide training and development opportunities to ensure team effectiveness and compliance with best practices. Identify and implement process improvements to enhance payroll accuracy and efficiency. Stay current with changes in payroll laws Qualifications: Bachelors degree in Accounting, Finance, or related field; FPC or CPP required 5-7 years of experience in payroll, with at least 2 years in a supervisory role. Strong knowledge of US payroll regulations, tax compliance, and payroll best practices. Experience with payroll systems (e.g., ADP, Paychex, Workday) Excellent analytical, organizational, and communication skills. Preferred Skills: Experience with Smartsheet, Excel, ServiceNow Ability to manage multiple priorities in a fast-paced setting. Familiarity with quarter end and year end payroll and payroll tax analysis Client facing experience and executive presence, experience navigating client disagreements and service recovery Work Timings US shift, 8-5 EST/EDT.

Posted 3 weeks ago

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