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Location
Remote/Hybrid (Gurgaon, India)
Seniority
Junior · 3+ years exp
Employment
Full-Time
Overview
Company
Impact
Profile match
Citi is one of the largest banks in the world, tracing its lineage to the City Bank of New York founded in 1812 and taking its modern shape through the 1998 merger that created Citigroup. Its most distinctive asset is a cross-border payments and treasury network unmatched by any competitor, moving trillions of dollars a day for multinational corporations, governments and other banks across roughly ninety countries. Alongside that institutional franchise it runs markets and investment banking, wealth management and a United States personal bank, and has spent recent years simplifying itself by exiting consumer operations across Asia, Europe and Latin America.

The Fund Accounting Analyst 1 is a senior level position responsible for accomplishing results by completing a variety of Financial Reporting activities seamlessly related to preparation and filing of financial statements/annual reports associated with Mutual Funds in line with US GAAP in Fund Administration domain.

Responsibilities:

Preparation and Review of financial statements ensuring compliance with accounting standards, internal and external audit requests and point of contact for identified clients. Ensure the quality of the day-to-day service equals or betters the performance targets as defined in the service level agreements (SLA’s) in place for each Client. Liaise with Onshore to ensure that auditors, clients and other interested parties have all relevant information for completing audits. Monitor the production schedule to ensure that production is completed accurately and within the client deadline.

  • Technical/Functional:
  • Manages processes which includes preparation and technical review of annual and semi-annual financial statements including audit work papers incorporating fund calculations for complex funds/clients in accordance with US GAAP (preferable)/IFRS and regulatory requirements for mutual funds and perform the completeness and accuracy checks of disclosure in FS.
  • Work on relationships with onshore client teams to make changes to financial reports and ensure they accurately depict fund performance.
  • In depth understanding and knowledge in accounting principles & preparation of financial statements based on US GAAP (preferable)/IFRS.
  • Ensures financial reports meet clients and any applicable regulatory standards.
  • Assists with coordination of activities between multiple departments within the organization, including our global partners.
  • Draft and update task lists for offshoring partners, ensures all supporting documentation is available to them and acts as primary contact to answer their questions and issues.
  • Develop and manage action plans and implement all quality and production standards.
  • Keeps him/herself constantly informed of regulatory and industry changes and other developments.
  • Ensures effective use of reporting system and makes recommendations for system enhancements where required.

Professional:

  • Strong verbal and written communication skills.
  • Competent to have conversation with internal/ external parties on accounting concepts/ standards.
  • Preparing supporting workings for quantitative and qualitative disclosures in FS.
  • Excellent analytical and problem solving skills.
  • Quest for learning.
  • Handling pressure situations.
  • Prioritization - Time Management skills.
  • Timely escalations.
  • Email and Telephone Etiquettes
  • Takes complete ownership of the clients and funds assigned.
  • Good interpersonal, organizational, innovative and exceptional level of attention to detail.
  • Result oriented and effectively manages changes and ensure proper documentation.
  • Acts as effective team player by being assertive in communication.
  • Contributes actively in team activities, sharing experience and ideas.

Knowledge of applications:

  • Proficiency in MS Office /Excel applications.
  • Advanced knowledge and experience of Microsoft word is a must.
  • Knowledge of financial reporting and fund accounting platforms like Unity, Investone is a definite plus.

Qualifications:

  • 3-4 years of relevant experience
  • Experience within financial services
  • Knowledge of financial market operations, accounting, and basics of financial management
  • Demonstrated knowledge of accounting
  • Basic knowledge of organization and policies
  • Consistently demonstrates clear and concise written and verbal communication

Education:

Bachelor’s degree/University degree or equivalent experience

  • Master’s degree or CA, ICWA, ACCA preferred

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Job Family Group:

Operations - Transaction Services

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Job Family:

Fund Accounting

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Time Type:

Full time

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Most Relevant Skills

Please see the requirements listed above.

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Other Relevant Skills

For complementary skills, please see above and/or contact the recruiter.

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Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.

If you are a person with a disability and need a reasonable accommodation to use our search tools and/or apply for a career opportunity review Accessibility at Citi.

View Citi’s EEO Policy Statement and the Know Your Rights poster.

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