Senior Fund Accountant|Senior Associate

💰 ₹28,800 - ₹46,080 (Est.) 📍 Hyderabad

Job Description

SS&C is a global provider of investment and financial services and software for the financial services and healthcare industries. Named to Fortune 1000 list as top U.S. company based on revenue, SS&C is headquartered in Windsor, Connecticut and has 20,000+ employees in over +0 offices in 35 countries. Some 18,000 financial services and healthcare organizations, from the world's largest institutions to local firms, manage and account for their investments using SS&C's products and services.
Job Description
The Senior Associate Fund Accounting is responsible for the financial accounting and reporting of the operations of real estate properties acquired and/or developed through the company’s various investment/fund vehicles. This primarily involves review/validation of property GL’s maintained by third parties. These may include office, multi-family, industrial, retail, hotel and mixed-use properties. This position works closely with the members of the Fund Accounting team that are responsible for the accounting and reporting of the investment entities and fund vehicles that own interests in the real estate properties on which the Investment Accounting team is reporting.
ESSENTIAL DUTIES
Review lease related agreements and ensure that lease related activity adheres to policies and procedures; this includes: TI allowances, lease incentives, bargain renewal and termination options, rent escalations, straight-line rent, CAM rule set-ups, CAM true-ups and reconciliations, and assessing the impact of differing move-in and commencement dates.
Ensure the property level activity is recorded, reviewed and approved in a timely manner to meet monthly and quarterly reporting deadlines.
Record and review acquisition and disposition property transactions as needed including: proration calculations, A/R aging review, and gain/loss projections.
Review purchase and sale agreements for accounting impact and ensure the proper recording of the acquisition and disposition entries. Provide all necessary documentation to the team preparing the purchase price allocations (PPAs). Assist the Investment Accounting Manager in the review of such PPAs for accuracy and book adjustments as needed to the original acquisition entry.
Work with capital markets to record new debt, refinancings or payoffs, and provide financial information as requested. Calculate and/or review debt covenant tests for property level debt. Ensure required reporting to lenders is done in a timely manner.
Review, oversee and field questions from third party accountants responsible for accounting on investment properties.
Assist property management with questions related to Yardi accounting processes and USAA Real Estate's accounting policies and procedures. Provide guidance, coaching and training to third parties, including participating in the “on-boarding” process of new USAA Real Estate third party relationships. This includes assisting in the setup of properties, leases/tenants, vendors/payables, property level bank accounts and other property level needs.
Ensure the timely reconciliation of WIP accounts and that assets are placed in service as appropriate. This includes reviewing the capitalization policy for proper treatment and assisting in determining the correct in-service dates and useful lives.
Calculate the property management and construction fee calculations for compliance with property management agreements. Ensure that they are timely processed.
Act as a point of contact for Asset Management for all accounting related matters on assigned investment properties. Work with the asset management and the fund accounting teams to provide operating cash flow projections to assist in forecasting investment entity/fund capital calls and distributions.
Assist the tax personnel with preparation of schedules by providing underlying support and/or performing reviews as needed in connection with the timely preparation of federal and state tax returns including franchise taxes, personal property taxes, and other business taxes.
Assist the fund accounting team with the preparation of quarterly/annual financial statements including providing details of transactions, underlying investment schedules, minimum rent disclosures, and other documentation and calculations needed for disclosures in accordance with GAAP.
Act as a point of contact for auditors for all accounting related matters on assigned investment properties
Demonstrate leadership skills by volunteering for special projects in the department.
Maintain an understanding and work with the Technical Accounting Team on new technical accounting developments, regulatory changes, management requirements, accounting system updates, procedures, etc. Assist in the incorporation and implementation of such changes into current company policies and procedures.
Additional duties, as assigned.

Required Qualifications:
Bachelor's degree in Accounting/Finance.
3+ years of experience in Private Equity/Hedge Funds/Real Estate Funds is preferred.
Proficient in Microsoft Office.
Excellent verbal and written communication skills.
Preferred Qualifications:
CPA/CA/ICWA/CMA
Yardi experience.
Qualifications may warrant placement in different job level.
Unless explicitly requested or approached by SS&C Technologies, Inc. or any of its affiliated companies, the company will not accept unsolicited resumes from headhunters, recruitment agencies, or fee-based recruitment services. SS&C offers excellent benefits including health, dental, 401k plan, tuition and professional development reimbursement plan. SS&C Technologies is an Equal Employment Opportunity employer and does not discriminate against any applicant for employment or employee on the basis of race, color, religious creed, gender, age, marital status, ****** orientation, national origin, disability, veteran status or any other classification protected by applicable discrimination laws.

💡 Quick Summary

Seeking a career-building opportunity? The Senior Fund Accountant|Senior Associate position is now open for candidates interested in the Accountant Jobs sector. This role in Hyderabad offers a professional environment and growth potential.

Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Accountant Jobs is a plus.

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Job Details

Company Name: SS&C

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The expected salary for Senior Fund Accountant|Senior Associate in Hyderabad is ₹28,800 - ₹46,080 (Est.) per month. Actual compensation may vary based on experience and negotiation.
No, Senior Fund Accountant|Senior Associate is an on-site position based in Hyderabad. Candidates must be able to commute or relocate to this location.
Basic communication skills, a proactive attitude, and the ability to work in a team are required for Senior Fund Accountant|Senior Associate. Previous experience in Accountant Jobs is a plus. Freshers may also apply depending on the employer's requirements.
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