Opportunity Description
Job Description
)- Review of Daily/Monthly PNL & NAV
- Prepare & review investor allocations.
- Review the MIS on reconciliation & resolve complex breaks.
- Improve ME timelines through continuous process improvement
- Review of Financial Statements.
- Develop Control checks and bring STP in the FA process
Display: (Specification)
- CA/MBA Finance/CFA/MMS
- Relevant experience in Fund Accounting
- Sound review & analytical skills
- Good Financial Product & accounting Knowledge
- Supervision & Team Handling experience
- Good Communication skills
- Learning ability
- Proficient in Microsoft Excel
- Client orientation
Deliver: (Goals)
- Client satisfaction in the CRM call reports.
- Zero issues in IA review / SOC1 certification. NAV delivery deadlines to be met 75% of the time
- Ze...
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