Manager - Product, Finance & Actuarial

Posted Yesterday
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2 Locations
In-Office
Senior level
Software • Analytics
The Role
Leads fund accounting and portfolio management domain expertise within a product, finance, and actuarial team. Translates investment workflows and regulatory requirements into product and functional solutions, develops financial models for valuations, NAV, cash flows, reconciliations, and performance reporting, investigates variances and operational issues, prepares stakeholder insights, improves processes, and manages analysts. Collaborates with engineering and business teams to deliver accurate financial products and reporting solutions.
Summary Generated by Built In

Job Title: Manager - Product, Finance & Actuarial

Role: Domain Expert / Specialist – Fund Accounting & Portfolio Management

Location: Hyderabad

Job Type: Full-time

Job Summary

We are looking for a highly analytical and detail-oriented Domain Expert/Specialist in Fund Accounting & Portfolio Management to join our Product, Finance & Actuarial team. The ideal candidate should possess strong expertise in fund accounting, portfolio management services (PMS), investment operations, financial analysis, and reconciliation processes.

In this role, you will work closely with business stakeholders and the engineering team to translate complex financial and investment workflows into scalable product solutions. You will also lead analysts, drive process improvements, ensure quality deliverables, and support the development of financial products and reporting solutions.

Key Responsibilities

  • Act as a subject matter expert in Fund Accounting, Portfolio Management Services (PMS), investment operations, and financial reporting.
  • Understand client requirements, regulatory guidelines, compliance needs, and investment workflows, and translate them into clear business and functional requirements.
  • Collaborate with cross-functional teams to enhance financial products and automate operational workflows.
  • Conduct detailed financial analysis to support product development, business decisions, and operational improvements.
  • Develop, validate, and maintain financial models, including portfolio valuations, cash flows, NAV calculations, reconciliations, and performance reporting.
  • Analyze financial data, identify trends, investigate variances, perform reconciliations, and recommend process improvements.
  • Prepare reports, dashboards, presentations, and analytical insights for internal stakeholders and clients.
  • Investigate portfolio, accounting, and reconciliation issues, providing timely resolutions and communicating findings effectively with clients and stakeholders.
  • Lead, mentor, and manage analysts while ensuring timely delivery, accuracy, and quality of work.
  • Create and maintain documentation for financial models, business processes, workflows, and product requirements.
  • Support senior management with business analysis, product enhancements, and strategic initiatives.


Requirements

Qualifications & Skills

  • Bachelor's degree in Finance, Accounting, Commerce, Economics, Mathematics, Statistics, or a related discipline.
  • Professional qualifications such as CA, CFA, CPA, FRM, CMA, MBA (Finance), or equivalent will be an added advantage.
  • 4–8 years of experience in Fund Accounting, Portfolio Management Services (PMS), Asset Management, Investment Operations, Financial Analysis, or similar domains.
  • Strong understanding of fund accounting principles, portfolio accounting, financial statements, investment products, and reconciliation processes.
  • Experience in financial modelling, reporting, and analytical problem-solving.
  • Advanced proficiency in Microsoft Excel and MS Office applications (Word, PowerPoint, Email).
  • Experience working with financial systems, investment platforms, or portfolio management applications is preferred.
  • Strong analytical, quantitative, and problem-solving abilities.
  • Excellent communication and stakeholder management skills.
  • Ability to lead teams, manage multiple priorities, and deliver high-quality results within deadlines.
  • Strong attention to detail with a continuous improvement mindset.

Skills Required

  • Bachelor's degree in Finance, Accounting, Commerce, Economics, Mathematics, Statistics, or a related discipline
  • 4–8 years of experience in fund accounting, portfolio management services, asset management, investment operations, financial analysis, or similar domains
  • Strong understanding of fund accounting principles, portfolio accounting, financial statements, investment products, and reconciliation processes
  • Experience in financial modeling, reporting, and analytical problem-solving
  • Advanced proficiency in Microsoft Excel and MS Office applications
  • Experience working with financial systems, investment platforms, or portfolio management applications
  • CA, CFA, CPA, FRM, CMA, MBA Finance, or equivalent professional qualification
  • Strong analytical, quantitative, and problem-solving abilities
  • Excellent communication and stakeholder management skills
  • Ability to lead teams, manage multiple priorities, and meet deadlines
  • Strong attention to detail and continuous improvement mindset
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The Company
Hyderabad, Telangana
18 Employees
Year Founded: 2019

What We Do

Actlogica builds software for Wealth Management and Insurance industries. FinFlo Enterprise - is first such product built by Actlogica. It is a wealth management tool for portfolio analytics and reporting. An advanced portfolio performance engine allows wealth managers, RIAs, CFAs, CFPs, IFAs, PMS managers and AMCs to get insights into investment portfolios. Contact us at 8978322900 to find out more about what Actlogica can do for you.

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