CS

Fund Accountant

Csc
Mumbai5-10 LPA Posted 2 Apr 2026
FULL TIME
Financial Services
Catering
Private Equity
Matrix
Accounting
+2 more

Job Description

Key Responsibilities:

Fund & Investor Accounting

  • Knowledge of private equity/debt fund structures, SPVs, standalone funds, master-feeder funds, and the role of each entity.
  • Understanding of investor classes including GP, carry, affiliated, and non-affiliated classes.
  • Record investor commitments and account for initial, subsequent, and late closings.
  • Process capital activities including subscriptions, redemptions, transfers, and switches.
  • Prepare call and distribution notices, wire details, and related schedules.
  • Manage Master-feeder capital transactions.

Transaction & NAV Management

  • Book trading and non-trading transactions and finalize books of accounts.
  • Prepare monthly/quarterly NAV workbooks and economic allocations.
  • Perform P&L rebalancing using European and American waterfall methods.
  • Compute management fees, preferred returns, and carried interest.
  • Calculate key ratios including Internal Rate of Return (IRR), Time-Weighted Return, and Investment Multiple.

Reporting & Client Interaction

  • Handle investor reporting, fund-level reporting, and ILPA reporting (optional).
  • Interact with clients on accounting and operational issues.
  • Manage operations and accounting for bank debts, TRS, MBS, and CLO instruments. 

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