





Strong Tier-1 brand and metro location but senior, niche mutual-fund reporting narrows candidate pool.
Requires niche mutual-fund/hedge-fund financial reporting expertise, limiting cross-industry transferability.
Explicit 10+ years, mutual fund reporting experience, and professional qualifications make filters stringent.
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Oversee end-to-end preparation and review of client financial statements, portfolio schedules, and mandatory regulatory filings within strict deadlines.
Manage coordination between multiple internal and global offshoring teams to ensure compliance and timely delivery of client reports and audits.
Provide coaching, performance reviews, and development opportunities to staff; handle staffing decisions including hiring and disciplinary actions.
10+ to 12+ years of experience in Mutual Fund/Hedge Fund Financial Reporting, accounting, or finance with staff management experience.
Bachelor’s Degree in Commerce/Economics with specialization in Business, Accounting, or Finance preferred; CA/CPA/ACCA or similar professional qualification preferred.
Knowledge of US GAAP, IFRS, Mutual Fund structures including standalone, master-feeder, and 40 Act funds required.
Must work shifts overlapping with US, APAC, and EMEA hours; strong technology skills and ability to use automation tools like FundSuite and Macros.
Experienced in managing complex financial reporting processes in mutual fund or hedge fund environments with multiple jurisdictional requirements.
Demonstrates strong leadership capabilities in coaching and managing teams with accountability for quality and timeliness of deliverables.
Skilled in cross-departmental coordination including offshore partnerships and effective risk management across financial reporting functions.