
at J.P. Morgan
Bulge Bracket Investment BanksPosted 5 days ago
No clicks
**Asset Management Vice President - Fund Controller** As a Fund Controller in Alternatives Financial Controllers, Private Capital, you'll oversee critical fund reporting and control for a large Institutional High Yield portfolio. Key responsibilities include delivering accurate, timely fund reporting, driving control excellence, and enhancing portfolio insights. You'll collaborate with stakeholders and lead process improvement initiatives to ensure high-quality financial information and robust governance. The role requires a CA/ACCA/CPA qualification with 8+ years in fund accounting, strong GAAP/IFRS knowledge, and proficiency in Microsoft Excel and Word. Experience with alternatives fund structures and core accounting concepts is essential. Join a global alternatives platform with deep specialization and strong governance.
- Compensation
- Not specified
- City
- Bengaluru
- Country
- India
Currency: Not specified
Full Job Description
Location: Bengaluru, Karnataka, India
Help deliver accurate, timely, decision-useful fund reporting that supports differentiated client outcomes. Drive control excellence and insight across a complex Institutional High Yield portfolio.
As a Controller within the Alternatives Financial Controllers team, Private Capital, you will own critical fund reporting, controls, and performance oversight for a large Institutional High Yield portfolio. You will partner with stakeholders to ensure high-quality financial information, robust governance, and effective execution across reporting cycles. You will lead continuous improvement initiatives that enhance accuracy, transparency, and operational efficiency.
Job Responsibilities
- Oversee financial reporting deliverables and property statements for completeness and accuracy.
- Ensure GAAP/IFRS compliance and maintain strong financial control standards.
- Review period-over-period variances and investigate drivers with clear commentary.
- Direct fund performance reviews to support portfolio monitoring and decision-making.
- Validate NAV processes, pricing inputs, and valuation controls in line with governance.
- Analyze investment and fund metrics to enhance portfolio insights and reporting quality.
- Serve as the technical accounting authority for complex issues and policy interpretation.
- Lead audit engagements, including planning, coordination, and issue resolution.
- Implement process improvements to strengthen controls, timeliness, and regulatory readiness.
- Manage key stakeholder relationships and facilitate executive-level communications.
- Mentor team members and drive cross-functional initiatives supporting strategic goals.
Required qualifications, capabilities and skills
- Hold a CA/ACCA/CPA qualification with 8+ years in fund accounting and/or financial reporting.
- Demonstrate strong knowledge of US GAAP and/or IFRS reporting requirements.
- Understand alternatives fund structures, operating models, and core accounting concepts.
- Perform high-quality financial statement reviews and variance analysis.
- Apply strong analytical skills to interpret results and identify risks or anomalies.
- Communicate clearly and concisely with stakeholders at multiple seniority levels.
- Collaborate effectively across investment, operations, and finance teams to deliver outcomes.
Preferred qualifications, capabilities and skills
- Leverage advanced proficiency in Microsoft Excel and Word.
- Operate effectively in high-pressure environments with tight deadlines.
- Work independently with strong ownership and accountability.
- Prioritize competing deliverables while maintaining quality and control discipline.
- Adapt quickly to changing requirements, portfolio complexity, and new initiatives.
- Partner confidently with senior stakeholders and contribute in executive discussions.
- Drive continuous improvement through automation, standardization, and process redesign.




