





Mid-level generalist Business Analyst title in a metro increases competition, but niche fund-accounting expertise reduces applicant pool.
Highly domain-specific fund accounting and NAV calculation reduce cross-industry transferability.
Explicit 5-8 years plus mandatory fund-accounting expertise and SQL mandate strict candidate filtering.
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Own end-to-end delivery and validation of platform features that automate month-end NAV reconciliation and investor income allocation for hedge fund operations.
Serve as the liaison between fund clients and engineering: gather detailed fund accounting requirements and ensure platform accuracy in financial outcomes.
Lead UAT with client stakeholders and perform hands-on technical validation using SQL and AI tools to verify data integrity and calculation correctness.
5-8 years of experience in fund accounting with expertise in NAV calculation, portfolio valuations, fee waterfalls, investor allocations, and capital activity processing.
Proficient in business analysis including requirements elicitation, process flow definition, and acceptance criteria specification.
Technical skills including SQL for data validation and practical use of AI-augmented workflows (e.g., Copilot, ChatGPT).
Location requirement: Gurgaon, India. Work Experience Required: 5-8 years as explicitly mentioned.
Experienced in complex fund accounting operations with strong domain rigor to handle edge cases and maintain calculation precision.
Results-oriented with a client-facing approach focused on validating financial accuracy rather than simply completing process steps.
Technically adept with a track record of integrating AI tools to improve analysis and specification writing in financial and operational contexts.