Talent.com
SS&C Technologies Holdings
Alternatives Fund Accountant (Hedge Funds)SS&C Technologies Holdings • Karnataka, Bangalore
No longer accepting applications
Alternatives Fund Accountant (Hedge Funds)

Alternatives Fund Accountant (Hedge Funds)

SS&C Technologies Holdings • Karnataka, Bangalore
24 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

Create a job alert for this search

Alternatives Fund Accountant (Hedge Funds) • Karnataka, Bangalore

Similar jobs

Hedge Accounting Professional

Radiant DigitalBengaluru, Republic Of India, IN

Title: Hedge Accounting Professional.India, with flexibility for major Client office locations.Senior Hedge Accounting Analyst.IFRS 9 Hedge Accounting, Treasury Accounting, and Derivative Financial... Show more

 • Promoted

Associate Director - Finance & Accounting

ITILITEbengaluru, assam, in

ITILITE is a leading global brand in the Business Travel, Expense & Cards Management space.Our mission is to help companies simplify their travel and expense processes, making it an enjoyable exper... Show more

 • Promoted

Fund Manager - Navi Amc

NaviBengaluru, Republic Of India, IN

The Investments team at Navi manages our portfolio of investment products, including mutual funds and digital gold.The team is responsible for conceptualizing new investment solutions and expanding... Show more

 • Promoted

Central Fund Accountant

Amicorp Groupbangalore district, karnataka, in

The Fund Accountant position is responsible for the preparation and production of Net Asset Values (NAVs), fund accounting records, and investor capital accounts for a portfolio of investment funds... Show more