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Job Type

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Job Description

About Vivriti Group

Vivriti Group is a trailblazer in the mid-market lending space, offering customized debt solutions to mid-sized enterprises. The group operates through two core businesses:

  1. Vivriti Capital Limited

    : A systematically important Non-Banking Financial Company (NBFC ND-SI) regulated by the Reserve Bank of India (RBI). Vivriti Capital has disbursed over USD 3 billion to 300+ enterprise borrowers and holds a CRISIL rating of A+.
  2. Vivriti Asset Management

    : A fixed-income fund manager, managing multiple Alternative Investment Funds (AIFs). With over USD 550 million in commitments from 900+ institutional and private contributors, Vivriti AMC has invested more than USD 600 million across 90+ entities.


https://www.youtube.com/watch?v=5rGfHVlRX0A


Role Summary:

Fund Accounting Lead


Key Responsibilities:

1. Fund Accounting & Reporting

  • Maintain books of accounts for multiple AIF schemes (Cat II and Cat III) under IGAAP.
  • Ensure accurate and timely calculation of

    Net Asset Value (NAV)

    on a periodic basis (monthly/quarterly as per fund terms).
  • Track and record

    income accruals

    from structured debt instruments (NCDs, CPs, PTCs, securitized receipts, etc.).
  • Post and reconcile

    investment transactions

    , including purchases, redemptions, amortization, mark-ups, and capital gains/losses.
  • Monitor

    coupon income

    , redemption premiums, purchase discounts, and variable cash flows for PTCs and securitized assets.

2. Investor-Level Accounting

  • Maintain detailed investor books including

    capital contributions, units, class-wise allocations

    , and

    fee/waterfall tracking

    .
  • Ensure time-weighted allocation of daily income and expenses to investors based on their class and contribution timing.
  • Process investor calls, distributions, and generate

    Capital Account Statements

    .
  • Handle

    fee calculations

    (management fees, performance fees, hurdle, catch-up, etc.) per PPM terms.
  • Handle expense allocations and calculations as per PPM terms.

3. Compliance & Regulatory Filings

  • Ensure timely and accurate filing of:
  • SEBI monthly/quarterly reports (AIF templates)
  • Form 64D & 64C under Income Tax
  • Annual PPM compliance report, valuation reports, and statutory audit disclosures
  • Other applicable compliances
  • Liaise with compliance teams and custodians to ensure adherence to

    SEBI AIF Regulations

    and

    FEMA guidelines

    , if applicable.

4. Audit, Taxation & Controls

  • Coordinate with statutory auditors, internal auditors, and tax advisors for fund-level audits and filings.
  • Ensure correct TDS computation and filing (Form 26Q, Form 15CA/CB where required).
  • Reconcile books with custodian/bank statements and investment manager records regularly.
  • Implement and maintain strong

    internal controls

    to ensure accuracy and compliance.

5. Systems, Process & Team Management

  • Lead or support automation initiatives including

    fund accounting software

    , Excel-based models, macros, and reconciliation tools.
  • Manage or mentor junior accountants or outsourced service providers.
  • Prepare dashboards and analytics for the Investment Manager / Fund Manager / Board.


Key Skills & Requirements:

  • M.Com/CMA

    /

    MBA Finance

    with 6+ years of experience in fund accounting, preferably in an AIF, PMS, or AMC.
  • Sound understanding of:
  • SEBI AIF Regulations (2012)
  • Indian accounting standards (IGAAP)
  • Debt instruments and cash flow-based valuation
  • NAV computation and investor-level unit accounting
  • Strong Excel and Zohobooks/ERP/specialized fund accounting tools knowledge.
  • Experience in

    audit, taxation, and regulatory reporting

    for AIFs.
  • Excellent analytical, communication, and team management skills.


Preferred Experience:

  • Prior exposure to

    Category III AIFs

    with

    leverage, complex fee structures

    , or

    frequent trading

    .
  • Experience handling

    multiple funds across different investor classes

    with varying fee and distribution structures.

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