Group Company: Acuity Analytics
Designation: Delivery Manager
Office Location: Gurgaon
Primary Responsibilities:
The role entails supporting a senior professional from the Finance team of a leading Private Equity fund. The candidate oversees end-to-end financial reporting, net asset value (NAV) calculations, complex asset reconciliations, and regulatory compliance for multiple fund structures, including Infrastructure, Real Estate, and Co-investment vehicles. This role requires a firsthand leader to manage portfolio company data validation, streamline audit deliverables, and optimize fund operations workflow using tools like Workiva and Yardi.
Additional Responsibilities: Yardi tool/Geneva/Workiva
Reporting Team
- Reporting Designation: Assistant Director
- Reporting Department: Private Markets
Educational qualifications preferred
- Field specialization: MBA/PGDM
Required Certification/s: CFA/CMA/CA
Required work experience
- Industry: BFSI
- Role: Fund Accounting/Fund Reporting/Fund Valuation
- Years of experience: 6-8 years
Key Performance Indicators:
- Financial Statement Management: Lead the preparation, review, and tie-out of Financial Statements, Board Books, and Form PF filings using Workiva.
- NAV Calculation: Oversee monthly average NAV file updates, NAV pick-up files for alternative investment vehicles (AIVs), and March/year-end NAV reporting.
- Roll-forwards & Ledgers: Manage equity roll-forward files, trial balance reviews, asset/liability tracking, and monthly property NAV file preparations.
- Valuation & Estimates: Drive the execution of EBITDA reconciliations, portfolio company true ups to actuals, and Level 3 reporting workbooks.
- Fee & Expense Management: Calculate and validate complex management fees, advisory fees, incentive fees, deferred insurance/appraisal costs, and expense allocations.
- Transaction Booking: Supervise daily trade ticket reconciliations, coupon checks, and recurring journal entries.
- Treasury & Cash Flow: Monitor cash movements and yield variance analysis.
- Regulatory Compliance: Execute regulatory tests including asset coverage tests.
- Audit Coordination: Serve as the primary point of contact for external auditors, ensuring prompt delivery of trial balances, lease agreements, and scoping lists.
Required Competencies:
- 6-8 years of fund accounting experience in Private Equity, Infrastructure, or Real Estate, with proven experience supervising teams and managing fund operations workflows.
- Advanced proficiency in Workiva for financial statements, Board Books, and Form PF filings.
- Expertise in NAV calculations, equity roll-forwards, Level 3 valuations, and EBITDA reconciliations.
- Strong technical skills in validating multi-tiered fee structures (management, advisory, incentive) and complex expense allocations.
- Experience overseeing treasury operations, trade reconciliations, and regulatory asset coverage tests.
- Proven ability to lead external audit coordination, streamline deliverables, and manage portfolio company data validation.
- Advanced Microsoft Excel skills with sharp analytical and problem-solving capabilities for complex true ups.
- Strong leadership and communication skills to manage team deliverables, support senior executives, and present financial trends.
Chartered Accountant (CA), CPA, or an MBA in Finance from a top-tier business school.
Work Environment Details: Hybrid