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SS&C Technologies Holdings
Alternatives Fund Accountant (Hedge Funds)SS&C Technologies Holdings • Pune, India
Alternatives Fund Accountant (Hedge Funds)

Alternatives Fund Accountant (Hedge Funds)

SS&C Technologies Holdings • Pune, India
12 days ago
Job description

Job Description

SS&C: Managed Operations – Alternatives Fund Accountant

Key Responsibilities


Fund Accounting Delivery & Close Oversight


- Deliver fund accounting services across multiple fund types and structures, including:

  • Standalone funds and Master / Feeder structures (including profit and loss push / pullmechanics)
  • Cayman and Delaware domiciled funds
  • UCITS and other regulated vehicles
  • Capital‑account driven and alternative investment structures, including private investments and side pockets

- Execute and manage daily, monthly, and quarterly close cycles, including:

  • Preliminary / estimated closes and final closes
  • Closed‑period accounting and subsequent‑period adjustments
  • Alignment to client timelines for preliminaries, finals, and investor reporting

- Own core fund accounting activities, including:

  • Accrual and expense accounting (cash versus accrual treatment)
  • Fee calculations and postings, including management, performance, administration, and carried interest
  • High‑water marks, hurdle rates, benchmark returns, and retained earnings
  • Accounting for capital activity, bank debt (funded, unfunded, and commitments), and complex instruments
  • Valuation and foreign exchange treatment aligned to pricing and valuation policies

- Apply sound judgement across accounting nuances such as:

  • Derivatives, including swaps and Open Trade Equity (OTE) treatment
  • Offsets, tolerances, and threshold agreements
  • Chart of accounts alignment and financial statement presentation

Operational Control, Dependencies & Collaboration
- Maintain a strong working understanding of reconciliation processes, including:

  • Cash, position, profit and loss, Open Trade Equity (OTE), and trial balance reconciliations
  • Market value versus cost, tax lots, and valuation support
  • Understand accounting outcomes, timing, and dependencies
  • Confirm readiness for close and downstream use
  • Identify and escalate issues with potential reporting or allocation impact

- Support client onboarding and solution design, working directly with clients and internal implementation teams to:

  • Gather and validate accounting requirements
  • Provide input into system configuration and accounting approach o
  • Participate in testing, walkthroughs, and controlled handover into steady‑state delivery

- Operate in line with agreed service-level agreements, operational calendars, and runbooks, contributing to:

  • Runbook refinement and maintenance
  • Documentation of best practices
  • Continuous improvement and standardisation of repeatable processes

- Work collaboratively with downstream functions (including investor accounting and allocations) to provide accounting context and support, ensuring consistent understanding of fund‑level outcomes

Required Experience

  • 3–10+ years’ experience in fund accounting, fund control, or managed operations
  • Strong experience with Advent Geneva or equivalent fund accounting platforms
  • Proven ability to manage complex fund structures and multiple close cycles
  • Strong accounting judgement across accruals, fees, valuation, derivatives, and period close
  • CPA preferred (or equivalent accounting qualification)
  • Comfortable engaging with client Fund Controllers, Chief Financial Officers, and senior operations teams
  • Consultative mindset with strong ownership, communication skills, and attention to control

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Alternatives Fund Accountant (Hedge Funds) • Pune, India

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