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Tier-1 brand and metro location increase competition, but senior, fund-specialist role limits applicant pool.
Highly specialized mutual funds financial reporting, regulatory, and US GAAP skills limit cross-industry transferability.
Explicit 14+ years requirement and mandatory fund accounting and regulatory expertise create high candidate filtering.
Manage client relationships ensuring timely and quality delivery of financial statements, portfolio schedules, and mandatory reporting to regulators within strict deadlines.
Oversee and coach team members, conduct performance reviews, and manage hiring, discipline, promotions, and terminations to maintain operational effectiveness.
Lead risk management and regulatory compliance initiatives including performing risk-based reviews of client financial statements and ensuring all regulatory filings are completed on time.
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; professional qualifications like CA/CPA/ACCA are good to have.
Knowledge of US GAAP/IFRS, SEC, IRS, and general ledger accounting requirements for investment companies and related fund structures.
Work Experience Required: 14+ years in relevant financial reporting and regulatory compliance roles.
Experienced in managing end-to-end financial reporting processes within investment company environments under stringent regulatory frameworks.
Capable of leading and developing teams while handling client relationships and global collaboration across time zones.
Strong operational focus on risk management, regulatory compliance, process improvement, and effective stakeholder communication.