Qualifications:
MBA or B.Com/M.Com or CA Inter/CS Inter/CMA Inter
Responsibilities:
- Processing simple and complex transactions using set procedures and guidelines.
- Perform daily reconciliation of trades, cash and positions.
- Monthly investigation on Reconciliation discrepancies and verify all the transactions.
- Prepare monthly financial reporting package for Hedge Funds.
- Calculation of Incentive Fee and Management Fee.
- Correspond with Auditor/Client on day-to-day fund inquiries including entering security trades, fee, payments, cash position breaks, and reconciliations.
- Establish and maintain effective working relationships with key partners internal and external to the organization.