SS&C

financial services

PrincipalFundAccountant

Hyderabad, India FULL TIME Remote Friendly
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Mid candidates.

The Brief

“Principal Fund Accountant at SS&C. Skills: Fund Accounting, Shadow Reconciliations, Accounting Services, Client Facing Projects. Process Portfolio Reconciliations – Positions, Cash, Transaction Reconciliation with Prime Brokers, Custodians, Fund Administrators, ISDA Counterparties, FCM. Process Month-End Shadow Accounting – NAV, Trial Balance, and Tax Lots Reconciliations”

Industry & Context.

financial services
Problems you'll solve

Analytical

Eligibility Requirements

Able to work in various shifts as required

What They're Looking For.

Must Have

5-12 years’ experience in financial or technology setting, working knowledge for instrument valuation across multiple asset classes ranging from Equities, Options, Futures, Fixed Income, Credit, FX, Understanding of the trade lifecycle ranging from Pre-Trade Compliance, Order Generation, Order Execution, Trade Confirmation, Trade settlements, reconciliation, and reporting

Nice to Have

working knowledge of VBA and Macro Building

What You'll Do.

Process Portfolio Reconciliations – Positions, Cash, Transaction Reconciliation with Prime Brokers, Custodians, Fund Administrators, ISDA Counterparties, FCM, Process Month-End Shadow Accounting – NAV, Trial Balance, and Tax Lots Reconciliations, Non-Trading Activity processing – e.

g Corporate Actions, Subscriptions & Redemptions, Account Transfers, Asset Servicing – e.

g Swap Financing & Resets, Bond Amortisation, Option Exercises, Break Resolution – Direct communication with 3rd Parties on resolving breaks, Communicate reconciliation results with Clients, 3rd Parties and internal stakeholders, Document requirements, associated workflows and maintain artefact library.

How You'll Work.

Team & Collaboration

playing a key role with various internal and external stakeholders; Direct communication with 3rd Parties on resolving breaks; Communicate reconciliation results with Clients, 3rd Parties and internal stakeholders

Communication Scope

Able to communicate technical details to a range of stakeholders with varying degrees of technical ability; Analytical, verbal, and written communication skills emphasis on quality, professionalism, and excellence

Process & Methodology

implement and present through various concurrent client facing projects

Full Job Description

As a leading financial services and healthcare technology company based on revenue, SS&C is headquartered in Windsor, Connecticut, and has 27,000+ employees in 35 countries. Some 20,000 financial services and healthcare organizations, from the world's largest companies to small and mid-market firms, rely on SS&C for expertise, scale, and technology. **_Job Description_** SS&C: Managed Operations – Fund Accounting Specialist SS&C is seeking Fund Accounting specialist to join its Managed Operations – Shadow Accounting in its Hyderabad / Mumbai office. We are looking for a candidate who has a proven track record in financial technology or a related discipline and can provide excellent service to our clients in the investment industry. Successful candidates will be highly driven and have an excellent understanding of the asset management business. As a Fund Accounting specialist, the candidate will be in a client facing role performing shadow reconciliations and accounting services in various SS&C Accounting platforms that its client operates on. This will involve playing a key role with various internal and external stakeholders to affirm requirements, implement and present through various concurrent client facing projects in a collaborative manner. Your daily responsibilities will include (but are not limited to): Process Portfolio Reconciliations – Positions, Cash, Transaction Reconciliation with Prime Brokers, Custodians, Fund Administrators, ISDA Counterparties, FCM. Process Month-End Shadow Accounting – NAV, Trial Balance, and Tax Lots Reconciliations. Non-Trading Activity processing – e.g Corporate Actions, Subscriptions & Redemptions, Account Transfers Asset Servicing – e.g Swap Financing & Resets, Bond Amortisation, Option Exercises Break Resolution – Direct communication with 3rd Parties on resolving breaks. Communicate reconciliation results with Clients, 3rd Parties and internal stakeholders Document requirements, associated workflows and maintain artefact l

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