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6.0 - 11.0 years
6 - 11 Lacs
Pune, Maharashtra, India
On-site
Skills: Prepare U.S. federal, state, and local income tax returns for partnerships Demonstrate proficiency in hedge fund strategies, including long/short equity Experience with various hedge fund structures such as master-feeder, mini-master, fund-of-funds Experience with financial services taxation including wash sales, QDI, PFIC reporting, Section 1256 contracts, NPCs, Section 988, constructive sales, straddles Experience with aggregate tax allocations Experience with calculation of taxable income and partner tax allocations Working knowledge of compliance with all tax regulations and timely filing of tax returns Perform detailed self-review of work for accuracy and completeness Possess strong written and verbal communications skills in English Be a team player that has a proven record of working effectively Ability to multi-task and balance between competing priorities Ability to provide accurate and timely reporting of client deliverables Proficient with GoSystem Tax RS Maintain client confidentiality pertaining to the client, staff and the firm in general Working knowledge of United States federal, state, and local tax laws Qualifications: Bachelor's degree in Accounting, Finance, Commerce or a related field Post-graduate degree in finance/accounting/commerce/statistics or MBA is preferred U.S. CPA or IRS Enrolled Agent qualification is preferable 7+ years of experience in public accounting with focus on hedge fund tax accounting concepts including partnership tax accounting, tax allocations, management and incentive allocations A preparer tax identification number (PTIN) is required for tax returns. If you do not have a PTIN or if your PTIN is expired, you are requested to complete the new or renewal application process (as applicable) before joining Apex
Posted 14 hours ago
2.0 - 6.0 years
2 - 6 Lacs
Bengaluru, Karnataka, India
On-site
Review/prepare NAVs of hedge fund clients on a daily/monthly basis Prepare cash, position, and market value reconciliations; resolve breaks and notify clients or CSMs Adjust for erroneous or missing transactions in the accounting system Review portfolio pricing and analyze pricing exceptions Review corporate actions and ensure correct booking in the system Reconcile dividends and interest with broker reports Accrue/amortize fees including management fees and financing accruals Process non-automated OTC derivative transactions and related cash movements Communicate daily with clients regarding estimates, NAVs, and query resolutions Verify correct booking of all OTC products traded by clients Book capital activities of the fund Finalize month-end NAV and prepare investor-level allocation reports Support audits by preparing financial statements and resolving review issues Contribute to automation, work migration, and system conversion projects Implement global changes in key operating procedures Coordinate with internal/external stakeholders including pricing, reporting, investor services, auditors, CSMs, and clients
Posted 14 hours ago
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