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Fund Servicing Associate

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 3 days ago

No clicks

**Fund Servicing Associate II in Mumbai, Maharashtra, India at JPMorganChase** Enhance fund accounting and administration within a leading financial institution. As a Fund Servicing Associate II, manage fund accounting books, resolve transaction discrepancies, maintain operational controls, and collaborate with cross-functional teams. Leverage 5+ years of experience, strong analytical skills, and process improvement mindset to drive operational efficiency and resiliency. Influence outcomes, build relationships, and recommend enhancements for continuous improvement.

Compensation
Not specified INR

Currency: INR

City
Mumbai
Country
India

Full Job Description

Location: Mumbai, Maharashtra, India

Join JPMorganChase as a Fund Servicing Associate II and be at the forefront of enhancing our operational services in fund accounting and administration. This role offers a unique opportunity for career growth and skill development, as you collaborate with a dynamic team and contribute to impactful solutions. Experience the benefits of being part of a leading financial institution that values innovation and continuous improvement.

As a Fund Servicing Associate ll within JPMorganChase, you will play a pivotal role in enhancing our fund servicing operations. Leveraging your broad knowledge of fund accounting and administration, you will provide advice and support to ensure progress within established procedures and policies. Your work will have a significant impact on our department, requiring you to apply your advanced analytical and problem-solving skills to develop solutions for varied and complex issues. Your advanced emotional intelligence will be key in building trusting relationships and influencing better outcomes for our team and clients. Your role will also involve planning and organizing your own work, and potentially that of a team, while continuously seeking opportunities for improvement and innovation in our operating platform.

Job Responsibilities
  • Ensure accurate maintenance of accounting books and securities records for assigned funds, adhering to all established fund accounting controls and policies.
  • Review and investigate exceptions arising from accounting or securities transactions breaching system validation tolerances; drive timely resolution.
  • Execute day-to-day fund servicing activities in a controlled environment, ensuring accuracy, completeness, and adherence to timelines.
  • Collaborate effectively with cross-functional teams including Operations, Technology, Product, Sales, and Program Management to support business objectives.
  • Identify process gaps, risks, and control weaknesses; proactively recommend and implement improvements to enhance operational efficiency and resiliency.
  • Contribute to continuous improvement initiatives by leveraging process optimization and automation opportunities.

 

Required qualifications, capabilities and skills

  • Minimum 5+ years of experience in fund accounting and/or fund administration with a strong understanding of accounting principles and securities processing.
  • Proven ability to manage and maintain accurate accounting records, including handling complex fund structures and transactions.
  • Strong analytical and problem-solving skills with demonstrated experience in investigating and resolving reconciliation breaks or transaction discrepancies.
  • Experience in executing and adhering to operational controls and procedures, with an emphasis on risk mitigation and compliance.
  • Sound understanding of control frameworks, including exposure to anti-fraud and operational risk practices.
  • Strong stakeholder management and interpersonal skills, with the ability to build relationships and influence outcomes across teams.
  • High level of ownership, attention to detail, and ability to work under pressure in a deadline-driven environment.

 

Preferred qualifications, Skills & Capabilities

  • Experience working across multiple functions or business lines within financial services.
  • Exposure to financial reporting, NAV calculation, custody operations, or fund administration processes.
  • Prior experience in driving process improvements, automation, or transformation initiatives.
  • Strong communication skills with the ability to present insights and partner with senior stakeholders.
  • Relevant professional certifications (e.g., CA, CFA, CPA) or equivalent domain expertise would be an advantage.
Join the operations team that is driving the success of both the client and stakeholders in the Fund Services organization.

Fund Servicing Associate

Compensation

Not specified INR

City: Mumbai

Country: India

J.P. Morgan logo
Bulge Bracket Investment Banks

3 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Fund Servicing Associate II in Mumbai, Maharashtra, India at JPMorganChase** Enhance fund accounting and administration within a leading financial institution. As a Fund Servicing Associate II, manage fund accounting books, resolve transaction discrepancies, maintain operational controls, and collaborate with cross-functional teams. Leverage 5+ years of experience, strong analytical skills, and process improvement mindset to drive operational efficiency and resiliency. Influence outcomes, build relationships, and recommend enhancements for continuous improvement.

Full Job Description

Location: Mumbai, Maharashtra, India

Join JPMorganChase as a Fund Servicing Associate II and be at the forefront of enhancing our operational services in fund accounting and administration. This role offers a unique opportunity for career growth and skill development, as you collaborate with a dynamic team and contribute to impactful solutions. Experience the benefits of being part of a leading financial institution that values innovation and continuous improvement.

As a Fund Servicing Associate ll within JPMorganChase, you will play a pivotal role in enhancing our fund servicing operations. Leveraging your broad knowledge of fund accounting and administration, you will provide advice and support to ensure progress within established procedures and policies. Your work will have a significant impact on our department, requiring you to apply your advanced analytical and problem-solving skills to develop solutions for varied and complex issues. Your advanced emotional intelligence will be key in building trusting relationships and influencing better outcomes for our team and clients. Your role will also involve planning and organizing your own work, and potentially that of a team, while continuously seeking opportunities for improvement and innovation in our operating platform.

Job Responsibilities
  • Ensure accurate maintenance of accounting books and securities records for assigned funds, adhering to all established fund accounting controls and policies.
  • Review and investigate exceptions arising from accounting or securities transactions breaching system validation tolerances; drive timely resolution.
  • Execute day-to-day fund servicing activities in a controlled environment, ensuring accuracy, completeness, and adherence to timelines.
  • Collaborate effectively with cross-functional teams including Operations, Technology, Product, Sales, and Program Management to support business objectives.
  • Identify process gaps, risks, and control weaknesses; proactively recommend and implement improvements to enhance operational efficiency and resiliency.
  • Contribute to continuous improvement initiatives by leveraging process optimization and automation opportunities.

 

Required qualifications, capabilities and skills

  • Minimum 5+ years of experience in fund accounting and/or fund administration with a strong understanding of accounting principles and securities processing.
  • Proven ability to manage and maintain accurate accounting records, including handling complex fund structures and transactions.
  • Strong analytical and problem-solving skills with demonstrated experience in investigating and resolving reconciliation breaks or transaction discrepancies.
  • Experience in executing and adhering to operational controls and procedures, with an emphasis on risk mitigation and compliance.
  • Sound understanding of control frameworks, including exposure to anti-fraud and operational risk practices.
  • Strong stakeholder management and interpersonal skills, with the ability to build relationships and influence outcomes across teams.
  • High level of ownership, attention to detail, and ability to work under pressure in a deadline-driven environment.

 

Preferred qualifications, Skills & Capabilities

  • Experience working across multiple functions or business lines within financial services.
  • Exposure to financial reporting, NAV calculation, custody operations, or fund administration processes.
  • Prior experience in driving process improvements, automation, or transformation initiatives.
  • Strong communication skills with the ability to present insights and partner with senior stakeholders.
  • Relevant professional certifications (e.g., CA, CFA, CPA) or equivalent domain expertise would be an advantage.
Join the operations team that is driving the success of both the client and stakeholders in the Fund Services organization.