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Fund Accountant Jobs

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Hiring For Accountant

World Overseas services LLP

  • 3 - 9 yrs
  • 35.0 Lac/Yr
  • Canada
Accounting Operations Branch Accounting Trust Accounting Manual Accounting Fund Accounting
Manage Financial Records, Prepare Reports, and Ensure Compliance with Regulations. Handle Budgeting, Forecasting & Audits. Process Invoices, Reconcile Accounts and Support Tax Filings. Maintain Accuracy and Confidentiality in all Financial Operations
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  • 0 - 2 yrs
  • 3.8 Lac/Yr
  • Female
  • Mathura
Computer English
Need for female candidates for accounts work
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Account Manager Accounts Officer Accounts Head Head Accounts Deputy Manager Accounts National Account Manager Senior SR Accountant Senior Accountant Management Accountant Project Accountant Depot Accountant Fund Accountant Junior Accountant Divisional Accountant
Job Openings for 18 Account Manager And Head Required Jobs with minimum 6 Years Experience in Singapore, United Arab Emirates, United Kingdom, Saudi Arabia, Qatar, New Zealand, Poland, Luxembourg, Australia, France, having Educational qualification of : Professional Degree, B.A, B.Com, B.Sc, B.E with Good knowledge in Account Manager, Accounts Officer, Accounts Head, Head Accounts, Deputy Manager Accounts, National Account Manager, senior, SR Accountant, senior Accountant, Senior Accountant, Management Accountant, Project Accountant, Depot Accountant, Fund Accountant, Junior Accountant, Divisional Accountant etc.
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Office Accountant

Propango Strategic Solutions Pvt Ltd

  • 2 - 8 yrs
  • Mira Road Mumbai
Income Tax Taxation Account Payable Account Receivable TDS Bank Reconciliation Tally ERP Income Tax Audit Balance Sheet Cash Flow Income Tax Return TDS Return GST Return GST Provident Fund Sales Invoice Invoice Verification Invoice Processing
1) Knowledge of TDS/ Booking keeping/ GST/ Accounting/ Accounting records and maintenance.2) Knowledge of billing and coordination with customer in submission of invoices etc.3) Making Quotation, performa invoices to client4) Ao approval, transporter adding.6) Couriering invoices except Noida region7) Coordinating bill for site certification8) Maintaining record of security cheque9) Staff/transport claim approval coordinator10) After hours DC/RC/E-way bill11) knowledge of claim processing of staffPreferred candidate profile : Graduation Knowledge of Tally Typing speed @30wpm Knowledge of Book keeping Knowledge of Import Prepare cheque in bulk for Creditor of expenses Maintain petty cash/ cash flow Record, store and analyse account information using Accounting software.Knowledge of Provident FundJob Type: Full-timeSchedule:Day shiftExperience:Accounting: 2 years (Preferred)total work: 2 years (Preferred)TDS: 1 year (Preferred)GST: 1 year Location: In person
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Senior Accountant

CONFIDENTIAL

  • 3 - 6 yrs
  • 5.0 Lac/Yr
  • Banjara Hills Hyderabad
Fund Manager Cash Officer Cashier Fund Accounting Cash Allocation TDS Bank Reconciliation Tally ERP Invoice Processing Tally GST Income Tax Return Direct Tax Taxation
Primary Skills: The role has the overall responsibility of providing day-to-day accounting operation, support and control through the task listed below. MS Office and Accounting package (Tally) knowledge mustSecondary Skills: logical thinking, problem solving, time management, accuracy, Knowledge of Microsoft Office, Presentation making, Ability to work in team.Typical Outputs:Reconcile bank statements.Prepare and post monthly journals.Preparation to trial balance stage of Statement of Income and Expenditure and Financial Position.Assist in the preparation of Management Report as required.Distribute relevant reports to staff and GovernanceMaintain Bank Balance information, Petty Cash records, Cash Journal records and Cash Book data entry.Educational Qualification:B.COM/MBA (Finance) Graduate
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  • 5 - 11 yrs
  • 8.0 Lac/Yr
  • Dubai +1 UAE
Accountant Office Administrative Cum Supervisor Store Accountant Office Accountant Fund Accountant Accountant Cum Office Receptionis Accountant Cum Cashier
We have vacant of 2 Urgent Require for Accountant cum Office Receptionist for Dubai Jobs in Dubai, UAE, Experience Required : 5 Years Educational Qualification : B.Com, Other Bachelor Degree, M.Com Skill Accountant,Office Administrative Cum Supervisor,Accountant Cum Cashier,Accountant cum Office Receptionis,Store Accountant,Office Accountant,Fund Accountant etc.Please Send Your CV at :- Email : hr@lakkho.comMobile No./Whatsapp : 8251069711
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Treasury - Associate

JOB24by7 Recruitment Consultancy Services

  • 3 - 5 yrs
  • 4.3 Lac/Yr
  • Delhi
Fund Flow Analysis Cash Management Services CRM SAP Basis Liquidity Management Financial Accountant Treasury Treasury Operations Treasury Operations Manager Treasurer Activities
Assist the Treasury Manager in the following tasks of the Treasury function.Cash management.Liquidity planning and control.Management of Investments in Mutual funds and Fixed deposits.Contacts with banks and rating agencies.Corporate finance.Banking relationship.Implement best practices.Assist in preparing data schedules/inputs formonth1y the MIS and for audit purposes.Liaise with banks for balance confirmations.Provide audit support for treasury-related activities to the consolidation team by updating audit schedules and responding to audit queries.Ensure time1y cirsu1ationofdai1y cash position to the treasury head and other relevant stakeholders.Provide support for the implementation of treasury products.Liaise regularly with the banks to solve operational issues between COE and banks.
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Looking For Chartered Accountant

Ornet Intermediates Pvt.Ltd.

  • 3 - 9 yrs
  • 7.5 Lac/Yr
  • Ahmedabad
Audit Supervisor Funds Flow Management Finance Advisor Finance Analyst
Job description Department : Finance & AccountingEmployment Type: Full TimeEducation : Chartered Accountant Location : Ahmedabad (PANCHWATI AREA)About the Company:Ornet group was established in early 90s. We are into manufacturing of Reactive, Direct and Acid Dyestuffs. We are a ISO 9001 & ISO 14001 certified organization and also a Government-Recognised Star Export House. Other companies of the group includes Ornet Beauty, Ornet Transformers LLP, Ornet Capital and Ornet Realty .Purpose:Provide leadership for Finance and Accounts activities at plant and business level in terms of accuracy, & on-time completion in line with board expectations and statutory accounting standards.Job Responsibilities: Ensure on-time and error-free monthly, quarterly and annual book closures Prepare Monthly MIS & Monthly Financial / Corporate trial Balance / CWIP Status & Fixed Asset Register / review of Creditors & Customer Ageing Report / Inventory Ageing Report / Financial report / Export tracker / Variance analysis Prepare Credit Monitoring Analysis (CMA) to manage bank credit certificates for funding purpose Ensure completion of internal and external audits on time and close open queries if any Document and update annual budget for the division, to deploy financial performance goals Ensure accuracy of all transaction in terms of receivables, payables, accounting, cash management by verifying and certifying all necessary documents Ensure compliance with Direct tax, Indirect tax, Companies and other statutory requirements by liaising with External and Internal stakeholders and Government Authorities, timely Payment of dues, Audits. To develop periodic statement of accounts like profit and loss, balance sheet for companies and individuals. Preparing and filing of Income.
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Chartered Accountant

Solo Business Consulting

  • 1 - 3 yrs
  • 6.5 Lac/Yr
  • Faizabad Highway Lucknow
Auditor Cost Accountant Financial Services Financial Accountant Balance Sheet Funds Flow Management GST Return GST & TDS Income Tax Audit Income Tax Return Work From Home
We are looking for 1 Chartered Accountant Post in Lucknow Faizabad Highway, Uttar Pradesh, Auditor, Cost Accountant, Financial Services, Financial Accountant, Balance Sheet, Funds Flow Management, Gst Return, GST AND TDS, Income Tax Audit, Income Tax Return, with deep knowledge in Auditor, Cost Accountant, Financial Services, Financial Accountant, Balance Sheet, Funds Flow Management, Gst Return, GST AND TDS, Income Tax Audit, Income Tax Return and Required Educational Qualification is : Professional Degree, CA,
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  • 3 - 5 yrs
  • 11.0 Lac/Yr
  • Mumbai
Forex Risk Management Working Capital Management Fund Raising Budgeting Statutory Compliance Debtors Management Chartered Accountant Walk in
* Formulate, implement & reinforce companys accounting policies and procedures* Adherence to accounting standards & internal controls* Standaridation in accounting manuals & SOPs across location* Finalisation of accounts & preparation of balance sheet* Computation of Income Tax quarterly basis* Payroll processing & TDS calculation for employees* Responsible for budgeting & cash flow related activities* Liasioning with bank & departments for working capital & legal compliance* Rendering all the services required for smooth internal audit process* Ensuring compliance under Income Tax and GST, PF , ESIC , Labour laws, including timely returns and payments* Generating MIS on monthly, quarterly basis as per defined MIS architecture
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Accounts Supervisor Balance Sheet Middleware Engineer Fund Management Cash Flow Statement Reconciliation Accounts Payable Accounts Receivable GST & TDS Tally ERP Income Tax Statutory Compliance Statutory Audit Account Manager Walk in
Supervise accounting transactions of all businesses of the group companyBudgeting income and expenditureIssuing invoicesCost ManagementIssue cheques to suppliers and service providersStatutory complianceEnsure all accounting statutory compliances, on time filingOn time statutory payments-PT, GST, TDS, PF, ESIC paymentsManaging working capitalPlanning and projecting outflows based on trends, budget, critical ingredients/ material and business requirements.Manage and maintain accounts receivable dataAccounts payable management as per termsMake all utility payments as per due dateCash flow projectionCash flow managementBankingFunding- long term and working capitalBanking transactions and relationshipsBanking adherence normsBank reconciliationAdhere to EXIM Banking normsEXIM documentations, FOREX payments, EPC loan and PCFC loanMISOn time financial reportsManagement information on sales, costs, out standingsBudget v/s actualPreparation of weekly outstanding reportsPreparation of monthly investment reportsStock records and auditsPetty Cash and Voucher recordsTeam managementTeam monitoring on internal systems of documentation/process adherenceManaging team to achieve targetsEvaluate and communicate performance periodicallyTeam training wherever requiredAny other tasks assigned by management from time to time based on business requirement
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Financial Planning Analyst

Deve Rus Advisory Services Private Limited

  • 7 - 8 yrs
  • 18.0 Lac/Yr
  • Bandra East Mumbai
Financial Planning Investment Banking Finance Budgeting Variance Analysis Financial Reporting Debt Syndication Fund Analyst Chartered Accountant
Purpose:To support the organization's financial planning and analysis functions by providing financial modeling, forecasting, and analysis. This role is critical in ensuring that the company is making informed financial decisions and is able to meet its financial goals.Key Responsibilities of the Role: Oversee the financial planning of the business by evaluating its performance and potential risks. Perform regular financial analysis. Develop budgets & rolling forecasts that meet the requirements of business with accuracy. Establish targets and manage & communicate clear message with various business stakeholders including business heads & chairman. Evaluate various business proposals & provide insight about key risks, benefits & area of improvement that help in achieving overall objective of business. Prepare detailed reports on the companys financial performance. Recognize patterns in company spending, revenue, and recommend solutions to any problem areas. Provide analysis on various key parameters of business & Developed financial model & reports to be shared with business. Analysis about business best practices & implementation across business verticals. Excellent in Forecasting, planning, evaluation of projects. Excellent in excel, working knowledge of Macros, Modelling & dashboarding.Key Performance Indicators: Accuracy, Speed & automations. Financial accuracy of forecasting & Budgeting Successful in implementation of various revenue enhancement & cost reduction projects. Insighting of various projects with key actionable. Identification of Critical Success Factors for winning TendersKey Interactions:Internal Business & other support functions & able to closed things.External Govt/Institutional clients/Vendors- Relationship management to milk current relations / forge new relations to Map competition activities. Understand Industry trends & therefore benchmark usQualification: CA /MBA Finance from top institute
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Campaign Manager

Story Board Production Company

  • 0 - 3 yrs
  • 4.8 Lac/Yr
  • Somajiguda Hyderabad
Fund Accountant Fund Administrator Fundraiser
JOB DESCRIPTION:FACE TO FACE FUNDRAISER - HYDERABADThe role of a fundraiser is to raise awareness about save the children to people on the street, at public places, Malls, Corporate offices and inspire them to contribute funds and become financial supporters.1. Promote awareness of the organization's mission and work.2. Acquire new donors.3. Research potential sponsors.4. Maintain positive relationship with donor.5. Plan fundraising initiatives to help organization meet financial goals.6. Raise funds for our cause and ability to work towards fundraising targets, accept and implement feedback.
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Finance Manager

Kanchansobha Finance Pvt. Ltd.

  • 2 - 5 yrs
  • 12.0 Lac/Yr
  • Mumbai
Financial Planning Debt Syndication Fund Analyst Investment Banking Finance Manager Chartered Accountant
Kanchansobha Finance Pvt. Ltd.position: Manager / Senior Manager job Description:we are Looking for a Chartered Account Having Experience of 2 to 5 Years in Corporate Finance/investment Banking. We are Willing to Consider Bright Mbas/cmas that have Strong Fundamentals and Relevant Experience.the Candidate Will Be Responsible for Preparation of Financial Models, Cma Data, Project Reports, Research, Restructuring/resolution Plans and Presentations for Submission to Banks, Financial Institutions, Nbfcs, Investors (including Private Equity Investors). the Job also Involves Plenty of Analysis Including Analysis of the Companys Business Model, Resolution Plans, Growth Plans, Etc. Besides, the Candidate Shall Be Required to Perform Industry Level / Company Level Research of Data from Various Public Databases. the Candidate Can Expect Active Participation in Client Meetings and Will Be Required to Regularly Interact with Client Teams for Gathering Information, Due Diligence, and other Items. the Candidate Shall Be Expected to Guide Junior Members of the Team and have the Skillset and Capability to Take On Leadership Roles as They Grow Within the Organization.we are Ideally Looking for a Person Who is Located At a Manageable Distance from Bkc.industry: Investment Bankingrole: Manager / Senior Manager pay: Rs. 9,00,000-rs. 12,00,000 P.a (negotiable)key Skills: Corporate Finance, Restructuring, Resolution, One Time Settlement, Debt Syndication, Funding, Cma Data, Project Report, Credit Appraisal Form, Power Point Presentations, Excel education: Chartered Accountant/mba/cma Having Experience of More Than 3 Years.desired Candidate Profile:1. Technically Sound2. Good English Communication Skills3. Free to Travel Anywhere in India4. Hard Working and Diligent5. Ability to Handle Pressure6. Team Worker7. Positive Attitude
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  • 5 - 11 yrs
  • Mumbai
Hedge Fund Administrator Hedge Funds Fund Administrator Fund Accountant Fund Accounting Specialist Work From Home
NAV calculation (daily/monthly), prepare financial statements, ensuring fund income and expenses, including management and performance fees, accurate & timely processing of all capital activities incl. subscriptions, redemptions, etc.Required Candidate profileMust have experience in Hedge FundsMust have prior experience in US Capital MarketMust be able to guide and lead the in-house accounting teamMust be expert in the entire chain of tasks of fund acc.
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Accounts Supervisor Balance Sheet Middleware Engineer Fund Management Cash Flow Statement Reconnciliation Accpunts Payble Accounts Receivable GST and TDS Tally ERP Income Tax Statutory Compliance Statutory Audit Walk in
Supervise accounting transactions of all businesses of the group companyBudgeting income and expenditureIssuing invoicesCost ManagementIssue cheques to suppliers and service providersStatutory complianceEnsure all accounting statutory compliances, on time filingOn time statutory payments-PT, GST, TDS, PF, ESIC paymentsManaging working capitalPlanning and projecting outflows based on trends, budget, critical ingredients/ material and business requirements.Manage and maintain accounts receivable dataAccounts payable management as per termsMake all utility payments as per due dateCash flow projectionCash flow managementBankingFunding- long term and working capitalBanking transactions and relationshipsBanking adherence normsBank reconciliationAdhere to EXIM Banking normsEXIM documentations, FOREX payments, EPC loan and PCFC loanMISOn time financial reportsManagement information on sales, costs, out standingsBudget v/s actualPreparation of weekly outstanding reportsPreparation of monthly investment reportsStock records and auditsPetty Cash and Voucher recordsTeam managementTeam monitoring on internal systems of documentation/process adherenceManaging team to achieve targetsEvaluate and communicate performance periodicallyTeam training wherever requiredAny other tasks assigned by management from time to time based on business requirement
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