Role Overview :
We are seeking a driven and detail-oriented Analyst with strong expertise in Fund Accounting and Data Management within the Private Equity domain. The ideal candidate will play a critical role in identifying data gaps, reconciling discrepancies, and enhancing reporting accuracy. This role demands a hands-on problem solver who can take ownership, drive solutions, and communicate effectively with stakeholders.
Key Responsibilities :
- Perform detailed fund accounting tasks and financial data analysis, specifically for Private Equity structures.
- Conduct end-to-end data reconciliation between multiple systems to identify inconsistencies and gaps.
- Collaborate with client teams to resolve issues affecting client reporting and ensure data integrity.
- Analyze and improve current operational workflows to enhance efficiency and accuracy.
- Develop and maintain advanced Excel models and reports using complex formulas.
- Assist in database queries, automation initiatives, and system-related troubleshooting.
- Prepare documentation and status reports for internal and client stakeholders.
Required Skills & Experience :
2–3 years of relevant experience, ideally in Private Equity fund accounting or financial statement analysis.Strong understanding of fund structures, capital calls / distributions, NAV calculations, and other PE-specific operations.Hands-on experience with data reconciliation , financial data analysis , and resolving data integrity issues.Proficiency in Advanced Excel (pivot tables, VLOOKUP / XLOOKUP, IF formulas, nested functions, etc.).Exposure to databases , workflow automation , and analytical tools.Excellent problem-solving skills with the ability to identify root causes and implement solutions.Strong communication skills – both verbal and written.Traits : Aggressive, proactive, and demonstrates strong ownership and accountability.