Overview

Fund Financial Reporting – Hedge and Private equities – IFRS, US GAAP & Lux Gaap

Position: Consultant / Assistant Manager

Expectation: Minimum 1-5 years of working experience into financial reporting for global hedge funds and private equities along with Strong accounting basics and Knowledge on IFRs/ Ind AS and US GAAP requirements.

We expect the resource to be capable of comprehending the reporting requirements well and prepare/review the financial statements and handle audit support with minimal support and guidance.

Knowledge & Skills required:

– Strong analytical and communication skills.

– Good working knowledge on Alternative Investments Fund Industry

– Conceptual understanding of

– NAV and GAV Calculation,

– Income and expense allocations, PL allocations

– Calculating Capital Calls and Distributions.

– Calculating Quarterly Management and Incentive fees schedules along with High water Mark.

– Thorough understanding along with working knowledge of reporting requirements and preparation of each of the core statements of funds along with SOI and notes to accounts.

– Understanding of various FSLIs in the financials and components to it

– Knowledge of applicable disclosure requirements for hedge funds and Private equities under IFRS and US GAAP.

– Conceptual clarity on Private equity investments and Derivatives like Forwards, Futures, Options Contracts, Swaps, Swaption, etc.

Minimum relevant experience of 1-5 years into:

– Extensive experience in preparation and review of financial statements of Hedge Funds and Private equities – manually on excel without use of software.

– Experience in preparation of qualitative and quantitative notes for various disclosures in notes to accounts.

– Understanding of various FSLIs in the financials and components to it

– Experience in handling the preparation of SOI – understanding of the disclosure requirements and awareness of practice nuances in its preparation.

– PL allocations and Investor allocations

– Calculation of various rolls (CMV, URGL, Investment) and experience in variance resolution.

– Understanding and experience on topsides – common topsides and amortization requirements.

– Financial Highlights.

– Basic understanding of Investment Valuation techniques.

– Working knowledge on accounting for Derivatives like Forwards, Futures, Options Contracts, Swaps, Swaption, etc

– Monthly and quarterly management reporting and year end financial reporting including support on audit closure.

Fund Accounting – Hedge Funds & private Equity

Position: Consultant/AM

Expectation: Minimum 2 -5 years of working experience into Accounting for Hedge Funds/Private equities/Mutual funds along with accounting and conceptual knowledge of various derivatives.

Knowledge & Skills required:

– Good conceptual knowledge on Hedge funds/Private Equities.

– Booking Journal Entries for various transactions daily.

– Calculating Capital Calls and Distribution Allocations and preparing Unfunded Commitment.

– Calculating Quarterly Management fees schedules.

– Calculating Carry, accruing for expenses, analyzing Capital Contributions required for investments.

– Strong knowledge in Hedge Funds including Waterfall, High Water Marks, Incentive Fees, etc.

– Conceptual clarity on Derivatives like Forwards, Futures, Options Contracts, Swaps, Swaption, etc.

– Conceptual knowledge on Corporate actions, corresponding accounting treatment, cashflows and their impact on Strike Price.

Minimum relevant experience of 2 years into:

– Fund Accounting activities including but not limited to bookkeeping, NAV computation, investor reporting, Management fee calculations, incentive fee and performance fee calculation, Capital calls and Distribution notices, processing payments.

– Working knowledge on accounting for Derivatives like Forwards, Futures, Options Contracts, Swaps, Swaption, etc

– Preparing investor notices for capital calls and distributions.

– Onboarding new Funds

– PL review and validation and proposing adjustment entries as needed.

– Computation of Management fee, Incentive fees and IRR for each period to know the performance of the fund.

– Allocate Income and expenses gain or losses for each fund and analyses if any discrepancies.

– Booking necessary activities like subscription, redemptions, transfer etc. and Calculating Daily, Weekly & Month end NAV.

– Providing Exception reports to clients and higher management on daily, weekly, and monthly basis.

– Sending pricing statements and generating monthly net asset value (NAV) reports for clients, ensuring timely and accurate information is provided.

– Daily position reconciliation and booking trade accordingly, daily cash reconciliation, research and investigation of all identified discrepancies.

– Experience in market value reconciliation and derivative reconciliation.

– Prepare quarterly work papers including preparation of General Ledger, Income Statements, Balance Sheet, Schedule of Investments, Receivable and Payable Schedule, NAV Calculations and Waterfall preparations.