





Niche, senior fund-reconciliation role but Tier-1 employer and Mumbai metro increase candidate competition.
Requires specialized investment fund accounting and reconciliation expertise, limiting cross-industry transferability.
Explicit 10+ years, industry-specific reconciliation expertise, and leadership requirements create stringent shortlist filters.
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Own and lead the end-to-end operating model for Asset Reconciliations covering diverse asset classes ensuring timely, accurate, and controlled reconciliation.
Drive risk and control frameworks including escalation, governance, remediation, and continuous improvement to safeguard investment data integrity.
Lead strategic initiatives for scalability, automation, operational resilience, and team development to support growing business complexity and service delivery.
Minimum 10+ years of investment, fund accounting, or reconciliation experience with leadership and review responsibilities.
Strong knowledge of equity, fixed income securities, derivatives, and related asset classes.
Proficiency in Microsoft Office and ability to learn new applications; experience with investment company accounting, US GAAP, and IFRS preferred.
Work Experience Required: 10+ years in relevant finance operations or reconciliation roles. Notice Period: Not explicitly mentioned in the JD.
Experienced leader able to collaborate across multiple internal and external stakeholders including custodians and service providers in complex operational environments.
Strategic thinker focused on process standardization, data-driven risk management, and continuous operational improvements in scalable service delivery.
Strong communicator with proven ability to manage governance forums, convey risks and performance trends clearly to senior management.