Live opening · Posted 20 days ago

Fund Accounting - Allvue

ThoughtFocus · Greater Bengaluru Area (On-site)
Linkedin No
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At a glance

The key details from the original listing.

Posted 20 days ago
CompanyThoughtFocus
LocationGreater Bengaluru Area (On-site)
Salary12 INR/yr - 20 INR/yr
Work modeNo
SourceLinkedin
Listed20 days ago

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About the role

Description supplied by the original job listing.

Key Responsibilities
Perform day-to-day fund accounting activities for private equity, private credit, real estate, or other alternative investment funds.
Work extensively with the Allvue Fund Accounting platform for transaction processing, accounting, reporting, and fund operations.
Maintain fund books and records and ensure accurate accounting entries.
Perform cash, investment, capital, and balance sheet reconciliations.
Support periodic NAV calculation and review processes.
Process and review capital calls, distributions, contributions, transfers, and other fund transactions.
Record and reconcile investment activity, including purchases, sales, income, expenses, and valuations.
Support quarterly/monthly close processes and preparation of fund financial statements.
Assist with investor allocations, management fees, carried interest, and other fund-level calculations.
Investigate and resolve accounting breaks, discrepancies, and reconciliation issues.
Prepare and review financial and operational reports generated through Allvue.
Coordinate with internal teams, auditors, tax teams, administrators, and clients as required.
Ensure adherence to accounting policies, controls, and operational procedures.
Identify opportunities to improve fund accounting processes and automation within Allvue.
Required Skills & Qualifications
3–8 years of experience in fund accounting, investment accounting, or alternative investment operations.
Hands-on experience with Allvue is strongly preferred.
Strong understanding of fund accounting concepts and investment structures.
Experience with private equity, private credit, real estate, hedge funds, or other alternative investments.
Good knowledge of NAV calculation, capital activity, investment accounting, and reconciliations.
Strong understanding of general ledger accounting and financial statements.
Experience with month-end/quarter-end close activities.
Strong analytical and problem-solving skills.
Good working knowledge of MS Excel, including formulas, pivot tables, and data analysis.
Strong attention to detail and ability to work with large volumes of financial data.
Good communication and stakeholder-management skills.
Ability to work independently while collaborating effectively with global teams.

Work arrangement
No

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