





Tier-1 employer and metro Bangalore raise applicant density, but specialized senior role limits competition.
Highly specialized mutual funds and regulatory reporting experience limits transferability across industries.
Explicit 14+ years, regulatory mandates and domain-specific skills create strict shortlisting filters.
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Manage client relationships ensuring timely delivery of financial statements, portfolio schedules, and regulatory reporting for audit/review.
Lead and coach team members, conduct performance reviews, and oversee staff management decisions including hiring and disciplinary actions.
Implement standard practices, regulatory compliance processes, risk management strategies, and execute critical regulatory and control plans including ORI initiatives.
14+ 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, Finance or equivalent experience; CA/CPA/ACCA is good to have but not mandatory.
Strong knowledge of US GAAP/IFRS, SEC, IRS, and general ledger accounting for investment companies and fund structures.
Work in shifts overlapping US, APAC, and EMEA hours; strong regulatory compliance and financial reporting expertise.
Experienced leader with proven ability to manage client relationships and deliver complex financial reporting within stringent deadlines.
Skilled at cross-geography collaboration with onshore and offshore teams and escalation management.
Strong background in regulatory frameworks and risk-based review processes for investment company financials.