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Axis Bank

WBCG:FIG - Fund Services - Fund Accounting & Reporting Team Lead

10-12 Years
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Job Description

WBCG:FIG - Fund Services - Fund Accounting & Reporting Team Lead

About - Wholesale Banking

The Wholesale Banking Coverage Group (WBCG) focusses on doing business with customers such as the Government, Strategic, large and mid-corporates and the SMEs across industries like Infrastructure, Engineering, Chemicals, Oil and Gas, Metals, textiles etc. The Corporate lending business emphasizes on doing business with higher rated corporates with a focus on garnering a higher share of the cash flows by providing working capital facilities.
Fund Services is a niche segment focus on Domestic - PMS, AIF, MF, Insurance etc and offering Fund Accounting Services for Portfolio Managers (PMS), Alternative Investment Funds (AIFs) & MF/Insurance in India and Gujarat International Financial Tec-City (GIFT)

About the Role
Fund Services [FS] - Fund Accounting & Reporting - TL

The role is to execute and manage fund accounting activities for Mutual funds, AIF , PMS and Insurance funds and warrants relevant operational and regulatory knowledge, experience and fund accounting background. The role involves ensuring daily execution of NAV of Mutual Fund/Insurance fund schemes, ensuring complete and accurate daily/weekly/monthly client reporting as per SLA plus regulatory reporting, Allocation of work to team members and ensuring timely execution of assigned task, various MIS reporting to management, Handling client's for regular and adhoc requirements and operational concerns, handling client's and other audit, active participation in and driving system developments and digital adoption

Key Responsibilities

1)To Supervise/manage the day-to-day activities of a small-to medium-sized fund accounting support team.
2)To Set work priorities and allocate resources according to client and fund accounting functional needs.
3)To manage the daily accounting and net asset value (NAV) production workflow to service multiple funds. To Handle daily activities which is inclusive and not exhaustive containing Capital accounting, trades processing, Income and Expenses accounting, corporate action benefits, Reconciliations, calculations of distributable surplus, Interest accruals and amortizations, equalization, capital gain loss, etc
4)Responsible for accurate calculation and Dissemination of NAV.
5)To ensure transaction processing and client deliverables as per agreed SLA, monitoring and ensuring implementation of all relevant regulatory changes
6)To liaise with all internal and external stakeholder including clients for all required data and support
7)To handle client's audit and related requirements
8)To handle escalations if any and ensuring high customer satisfactions score
9)To manage client's operational review meetings, obtaining feedback and addressing client's concerns/recommendation
10)To conduct UAT and system testing for system enhancements or new requirements
Qualifications

.CA / CFA /Inter CA/ MBA with prior experience in a similar role for 10+ years
.NISM certification in mutual fund module, Other Certifications in the relevant area would be an added advantage

Role Proficiencies:

.Positive and collaborative attitude with excellent interpersonal and communication skills
.Good knowledge of SEBI & RBI regulations & policies in the relevant areas
.Solution oriented Team player
.Proactive in learning & self-development
.Preferred to have expertise in MSOffice, Wealth Spectrum and Multi Fond system

More Info

About Company

Job ID: 136061687