Top Finance Jobs in Chennai, TN

Reposted 4 Days AgoSaved
Hybrid
Chennai, Tamil Nadu, IND
Senior level
Senior level
Fintech • Legal Tech • Software • Financial Services • Cybersecurity • Data Privacy
Senior fund accounting role supporting private equity, hedge fund and debt clients. Manage complex fund structures, investor capital activities, NAV preparation, economic allocations, fee and carried interest calculations, investor and fund reporting, and client interactions. Requires knowledge of waterfall methods, performance ratios, and instruments like TRS, MBS, and CLOs.
14 Days AgoSaved
Hybrid
Chennai, Tamil Nadu, IND
Senior level
Senior level
Fintech • Legal Tech • Software • Financial Services • Cybersecurity • Data Privacy
Manage end-to-end payment processing including preparing and reviewing payments, SWIFT message handling (MT103/MT101), sanctions and clearing checks, FX and liquidity management, statement handling, and client administration. Ensure accuracy, compliance, process improvements, and timely delivery while supporting global teams and supervising staff.
Top Skills: Mt101Mt103SwiftSwift Gpi
4 Days AgoSaved
Remote or Hybrid
India
Entry level
Entry level
Fintech • Legal Tech • Software • Financial Services • Cybersecurity • Data Privacy
Performs private equity, hedge fund, and debt fund accounting for global clients. Responsibilities include maintaining fund structures, recording investor commitments and capital activity, booking transactions, finalizing accounts, preparing NAV workbooks and reports, calculating management fees, preferred returns, carried interest, and performance ratios, and supporting investor and client reporting. The role also handles fund instruments such as bank debt, TRS, MBS, and CLOs while working UK/US night shifts in a hybrid Mumbai-based environment.
5 Days AgoSaved
Remote or Hybrid
India
Senior level
Senior level
Fintech • Legal Tech • Software • Financial Services • Cybersecurity • Data Privacy
Provides client-facing fund accounting services for global hedge, private equity, and debt fund clients. Responsibilities include maintaining books, processing capital activities, preparing NAV and investor reports, calculating management fees, preferred returns and carried interest, applying waterfall methodologies, and handling complex fund structures and instruments. The role also involves client issue resolution, financial analysis, and collaboration across jurisdictions while working UK shifts.
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