





Tier-1 brand and Bangalore metro increase applicant density, but senior niche financial reporting role limits competition.
High—deep mutual funds financial reporting, SEC/IRS and regulatory expertise is industry-specific and less transferable.
High due to explicit 18+ years requirement and specialized mutual funds, SEC/IFRS regulatory and accounting expertise.
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Lead financial reporting operations for investment company clients across multiple regions, ensuring high-quality reporting and regulatory compliance.
Manage senior client relationships and large teams, oversee performance reviews, and drive operational excellence and risk management.
Implement and enhance regulatory processes, contribute to regulatory compliance initiatives, and ensure timely regulatory filings.
Minimum 18 years of experience in mutual funds/hedge funds financial reporting, accounting, auditing, or related business activity.
Bachelor's Degree in Commerce/Economics with specialization in Business, Accounting, or Finance preferred; CA/CPA/ACCA is a plus.
Strong knowledge of US GAAP, IFRS, SEC, IRS, and accounting requirements for investment companies, trusts, and partnerships.
Work Experience Required: 18+ years in relevant domain; Notice period: Not explicitly mentioned in the JD.
Experienced leader skilled in managing large teams and senior client relationships in financial reporting within investment management domain.
Proven ability to drive compliance with complex regulatory requirements and enhance operational and risk management frameworks.
Demonstrates strategic oversight and partnership with global stakeholders to deliver consistent service and business growth.