Private Equity Accounting-Associate 2

Recruiter
State Street.
Location
Hyderabad, India
Salary
Not disclosed
Posted
30 Apr 2021
Closes
06 May 2021
Ref
R-664535
Contract type
Permanent
Hours
Full time
Experience level
Qualified accountant

Position Description

This position is within the Private Equity Fund Services business unit of the State Street Alternative Investment Services Group.

Fund Administration Managers, Officers interact with all levels of professionals both internally and externally. Therefore, exceptional interpersonal and communication skills are required. Candidates must demonstrate initiative, be able to perform well under pressure and simultaneously handle multiple assignments. Fund Administration Managers are responsible to direct the day-to-day accounting and administration for several client sponsored investment funds. Should be flexible to work at both Supervisory & individual contributor as per business requirement/demand.

Main Responsibilities:

i) Service Delivery

  • Adhere to State Street Alternative Investment Solutions (AIS) strict internal control procedures.
  • Ensure monthly and quarterly client deliverables are meet
  • Display ability to performance variance analysis to explain significant movements from quarter to quarter.
  • Review quarterly and annual financial work papers including portfolio schedules, accruals, partner capital allocations and tax work paper packages.
  • During the course of normal day to day operation, responsible for identifying any unusual or potentially suspicious transaction activity and must report and/or escalate in accordance with corporate policy and guidelines detailed in relevant operating procedures.
  • Review limited partnership agreements and offering memorandums and ensure compliance with operational and accounting procedures
  • Coordination of annual audit and tax return preparation with external accounting firms

ii) Service Quality

  • Undertake full review of calculation and verbiage on Limited Partner capital calls and distributions.
  • Undertake full review of accounting work paper packages, fees calculations, financial statements and other reports and communications to Limited Partners
  • Review quarterly management fee, waterfall, capital account calculations.
  • Manage internal workflow to ensure internal processing and client deadlines are met

For further information, and to apply, please visit our website via the “Apply” button below.