





Tier-1 employer and Bangalore location increase competition, but senior 14+ year requirement reduces applicant pool.
Fund accounting, SEC/IRS reporting, and investment company expertise limit cross-industry transferability.
Explicit 14+ years, regulatory expertise and fund reporting experience make filters highly stringent.
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Manage end-to-end financial reporting processes for investment company clients, including preparation of financial statements, portfolio schedules, and mandatory regulatory filings within strict deadlines.
Lead and monitor a team responsible for client service, ensuring client satisfaction, coaching, performance management, and compliance with regulatory standards.
Collaborate globally to ensure consistent service delivery, manage business risks, implement operational enhancements, and handle critical regulatory and control initiatives.
Minimum 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 preferred; CA/CPA/ACCA or similar qualification is good to have.
Strong knowledge of US GAAP/IFRS, SEC, IRS, and general ledger accounting requirements applicable to investment companies and fund structures.
Work in shifts overlapping US, APAC, and EMEA hours, with ability to manage strict deadlines for audit, review, and regulatory submissions.
Experienced leader skilled in managing large distributed teams, client relationships and performance reviews in a regulated financial services environment.
Deep expertise in mutual funds/hedge funds financial reporting, regulatory compliance, and risk management within global platforms.
Proactive in implementing operational improvements, managing regulatory changes, and collaborating cross-regionally to maintain service quality and regulatory standing.