Financial Reporting Senior Analyst

Posted 10 Hours Ago
Be an Early Applicant
Pune, Maharashtra, IND
In-Office
Senior level
Fintech
The Role
Prepare, review, and coordinate annual, semi-annual, and quarterly shareholder and regulatory reports for pooled funds; incorporate comments from auditors, legal, and accounting; manage SEC filings and vendor coordination; maintain reporting schedules, checklists, and bank accuracy sheets; communicate GAAP rule changes and liaise with internal teams to resolve fund reporting issues.
Summary Generated by Built In

As a leading global investment management firm, AB fosters diverse perspectives and embraces innovation to help our clients navigate the uncertainty of capital markets. Through high-quality research and diversified investment services, we serve institutions, individuals, and private wealth clients in major markets worldwide. Our ambition is simple: to be our clients’ most valued asset-management partner.

Group Description:
The Global Fund Administration department is responsible for the oversight of approximately 600 pooled vehicles domiciled in the US, Luxembourg, Cayman Islands, as well as other global locations. The team oversees day-to-day Net Asset Value calculation and regulatory/client reporting requirements on a product-by-product basis.

Specific Responsibilities:

·         Review annual, semi-annual, and quarterly reports, as well as tailored shareholder reports (TSR)

·         Incorporate comments on all financial reports from all parties (GFA Fund Accounting, Auditors, Legal, etc.)

·         Communicate changes in GAAP rules for financial statement presentation to operating groups and accounting agents

·         Provide information on notes to financial statements (e.g., 12b-1 expenditures, sales load, T/A expense offset arrangement)

·         Review reports to shareholders for style, consistency, and accuracy

·         Work with banks, printers, and attorneys on S.E.C. N-CSR, N-30D, and 485B filings

·         Prepare and update yearly schedules for shareholder reports

·         Prepare calendars for banks, auditors, and fund accounting for report preparation and review

·         Maintain Financial Reporting checklists and bank accuracy sheets

·         Keep management informed of any problems on assigned funds

·         Liaise with vendors and internal teams in preparation of shareholder and regulatory reports


What makes this role unique or interesting?
The vast line of products within GFA provides exposure and experience not typically seen within a fund complex. The role requires analytical thinking in support of the reporting process.

Qualifications, Experience, Education:

·         Minimum 3–5+ years of experience in the mutual fund or finance industry

·         4-year degree in a business field (preferably accounting or finance)

·         Proficient knowledge of mutual fund accounting

·         Knowledge of SEC regulations, financial reporting, and spreadsheets

·         Knowledge of various GAAP reporting (U.S., International, Lux GAAP) is a plus

·         Excellent analytical, communication, organizational, and problem-solving skills


Special Knowledge (if applicable):

·         Knowledge of various reporting requirements (RIC, Lux, Partnership, etc.), financial reporting experience, and alternative product knowledge is a plus

·         Process management/improvement experience preferred

·         Knowledge and understanding of Artificial Intelligence (AI) is preferred


Location: Pune, India


Pune, India

Skills Required

  • 3-5+ years experience in the mutual fund or finance industry
  • 4-year degree in a business field (preferably accounting or finance)
  • Proficient knowledge of mutual fund accounting
  • Knowledge of SEC regulations, financial reporting, and spreadsheets
  • Knowledge of various GAAP reporting (U.S., International, Lux GAAP)
  • Excellent analytical, communication, organizational, and problem-solving skills
  • Knowledge of various reporting requirements (RIC, Lux, Partnership) and alternative product knowledge
  • Process management/improvement experience
  • Knowledge and understanding of Artificial Intelligence (AI)

AllianceBernstein Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about AllianceBernstein and has not been reviewed or approved by AllianceBernstein.

  • Retirement Support Retirement programs include a 401(k) with employer match and zero-fee management, plus an employee stock purchase plan and charitable contribution matching. These features form a strong pillar of the total rewards offering.
  • Leave & Time Off Breadth Time-off offerings extend beyond standard PTO to include paid volunteer time, sabbaticals, and periodic 'refresher' vacation. These provisions support work–life balance.
  • Wellbeing & Lifestyle Benefits Workplace perks include free lunches, free snacks, subsidized meals, and company-sponsored events alongside pretax commuter programs. Wellness resources such as fitness centers, wellness groups, and EAP access add day-to-day value.

AllianceBernstein Insights

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The Company
HQ: Nashville, NY
4,847 Employees
Year Founded: 1967

What We Do

AllianceBernstein (AB) is a leading global investment management firm that offers high-quality research and diversified investment services to institutional investors, individuals, and private wealth clients in major world markets. We are one of the largest investment management firms in the world, with more than $500 billion in assets under management. We foster a diverse, connected, collaborative culture that encourages different ways of thinking and differentiated insights. We embrace innovation to address increasingly complex investing challenges. And we pursue responsibility at all levels of the firm—from how we work and act to the solutions we design for clients.

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