





Tier-1 brand and Mumbai metro increase applicant density, while seniority reduces competition.
Highly specialized middle-office and fund accounting skills limit cross-industry transferability.
Explicit 13+ years, domain expertise, and reconciliation tooling increase screening rigor.
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Execute and oversee daily accounting and reconciliation activities across multiple asset classes ensuring accuracy and timely delivery.
Investigate and resolve reconciliation breaks, monitor exceptions, and escalate high-risk items in adherence to SLAs and risk controls.
Lead process improvement and automation initiatives while managing stakeholder communications and mentoring junior team members.
Bachelor’s degree in Finance, Accounting, or related field; professional certifications (CA/CFA/CPA) are a plus.
13+ years of experience in middle office, fund accounting, or reconciliation roles.
Strong knowledge of financial instruments including equities, fixed income, and derivatives.
Experience with reconciliation tools and accounting systems; knowledge of platforms like TLM, DUCO, IntelliMatch preferred.
Experienced in managing complex reconciliations and accounting in a dynamic investment operations environment.
Proficient in process automation and system enhancements using tools such as Alteryx, Python, or RPA.
Capable of stakeholder management across internal teams, clients, and external partners with strong risk and exception oversight.