Posted:2 months ago|
Platform:
Work from Office
Full Time
As a Fund Accounting Team Leader within our financial services team, you will be responsible for the maintenance of accurate accounting and securities records for each fund administered. You will ensure all prescribed controls are adhered to for each fund accounting process. This role provides an opportunity to gain knowledge of the clients structure and various types of portfolios, their deliverables, and some of their specific requirements. You will also utilize various systems to adequately research and resolve issues on portfolios. This role requires a good understanding of security types and their accounting treatment, as well as awareness of stock market practices & data vendor systems . Job Responsibilities - Maintain FA is the maintenance of accurate accounting and securities records for each fund administered, ensuring all prescribed controls are adhered to for each fund accounting process (e.g. position reconciliation, asset pricing, security trading, income & expense processing etc.) - Prepare file in accordance with internal control checklist in Newton for items applicable to that particular portfolio. - Keep adequate documentation on file to fully explain and support all items, particularly those, which would be deemed unusual, eg. Past due dividends, larger than usual price movements (when comparing against assets in the same industry class), large gains and losses in FFXs, large div yield, trade cost per unit vs. ending price comparison and overall benchmarking discrepancies. - Complete accurate and legible files within deadlines set by Managers in order to fulfill production requirements - Ensure documentation is completed and signed off as per requirements - Reconcile of capital flows where appropriate. - Utilize the WINS-INVEST ONE (reporting)/GTI/ Titan systems to adequately research and resolve issues on portfolios. - Analyse of fund performance to ensure final valuations are accurate - Demonstrate sufficient technical knowledge of various investment instruments and markets (stock exchanges) and there effect on the portfolios valuation. - Gain knowledge of the clients structure i.e. its and various types of portfolios, their deliverables, and some of their specific requirements. Make sure to start each bullet point with a verb or an adverb to maintain consistency and clarity in job responsibilities. Required qualifications, capabilities and skills 5 years or more in Banking / Financial services industry or with accounting firm. Experience in an automated processing environment. With people management skills Good understanding of security types and their accounting treatment Awareness of stock market practices & data vendor systems (e.g. Bloomberg) Knowledge of the processes of a fund s Custodian Bank and Investment Manager
JPMorgan Chase Bank
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My Connections JPMorgan Chase Bank
Mumbai, Maharashtra, India
Salary: Not disclosed
20.0 - 22.0 Lacs P.A.