





Senior, highly specialized mutual funds reporting role reduces candidate pool despite strong employer brand in Bangalore.
High domain bias: mutual funds, SEC/IRS and financial reporting expertise are industry-specific and not easily transferable.
Explicit 18+ years experience, regulatory expertise and leadership mandate create high shortlisting strictness.
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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, overseeing service delivery, issue escalation, and talent development.
Drive operational excellence, risk management, implementation of standard practices, and support regulatory and business transformation initiatives.
18+ years of experience in mutual funds/hedge funds financial reporting, accounting, auditing or related activities.
Bachelor’s Degree in Commerce/Economics with specialization in Business, Accounting, Finance or equivalent experience preferred; CA/CPA/ACCA or similar certifications are good to have.
Knowledge of US GAAP, IFRS, SEC, IRS regulations, and general ledger accounting related to investment companies, trusts, partnerships, and fund structures.
Ability to perform regulatory filings and reviews on financial statements and related forms.
Experienced leader capable of managing large teams and senior client relationships in a global financial services environment.
Strong expertise in investment company financial reporting, regulatory compliance, and risk management with operational oversight.
Skilled at collaborating across global teams to ensure consistent service delivery and implement regulatory and technology initiatives.