Job Title Associate, CFO Office Services
Category Finance
Location Pune, Gurugram, Bengaluru
Company Tresvista Financial Services
Description About the Department:

CFO Office Services is one of the vital service lines offered by TresVista to its clients, providing fund administration, management company accounting, corporate accounting including FP&A, Treasury and other allied activities performed which assists the CFOs office at the clients end. The delivery team comprises highly skilled accounting professionals intended to function as an extension of the clients team and further supported by additional value-added functions. The department serves various clients across Public and Private Equity, Investment Banks and other Corporates, Wealth Management Firms and Portfolio companies


Overview

The Associate opportunity at TresVista is a 2 - 3 year program providing a chance to work directly with and be responsible for their client base. It provides them with rich learning experience and direct exposure to senior investment professionals.

Associates undergo a comprehensive training program to help them execute smoothly and exceed client expectations. An Associate's role is sector agnostic, working across product groups, acting as thought partners for clients and not just data aggregators.


Key Role Expectations:

Lead project requests, determining the project path and guiding analysts on how to execute tasks effectively
Check all deliverables executed by analysts, ensuring accuracy and compliance with standards
Manage and mentor a team of analysts, providing guidance and support while reporting to management
Communicate directly with senior professionals such as CFOs, controllers, and accounting managers, addressing inquiries and providing information
Assist with annual budgets, forecasts, and long-range financial plans to support strategic decision-making across the firm
Analyze financial data to identify trends, variances, and opportunities for improvement, providing actionable insights to management
Develop and maintain complex financial models for various business units and projects, ensuring accuracy and reliability
Identify solutions to real world accounting problems faced by senior professionals - such as identifying accounting solutions on leases, Fixed Asset Registration, IT Assets, NAV Packages, Cash management, Financial Statement preparation, Waterfall Calc, Capital Budgeting, etc.
Understanding client projects and creating comprehensive processes to build efficiencies and add control to client workflows
Perform comprehensive due diligence on potential portfolio companies, assessing risks and opportunities
Support deal execution and transaction documentation, collaborating with legal and compliance teams
Monitor and analyze portfolios, company performance, preparing detailed reports for senior management
Prepare investment committee materials, including detailed presentations and recommendations
Prepare quarterly financial reporting packages for clients, ensuring timely and accurate delivery
Manage and review capital call and distribution allocations, maintaining precise records
Post and review journal entries, reconciling cash and bank accounts to ensure accuracy
Calculate management fees, partner catch-up, carried interest, and waterfall, adhering to established guidelines
Produce accurate and timely reports of the fund's daily and monthly accounting activities, maintaining high standards of quality
Calculate NAV of funds, including embedded expenses and fees, ensuring precision
Develop and implement efficient and standardized workflows within the team, enhancing productivity
Liaise closely with team members to identify and implement job training initiatives, fostering professional growth
Monitor procedures and controls within the team, reviewing and approving work daily within stated departmental guidelines

Prerequisites

Strong working knowledge of fund accounting, NAV calculation, performance calculation, pricing, valuation of financial instruments, corporate accounting, and investor relations
Prior FP&A knowledge is an added advantage
Strong leadership and team management skills with the ability to set clear priorities, delegation, and deployment of team resources
Excellent communication skills and be organized to meet deadlines
High levels of honesty & integrity, ability to lead a team and self-drive is essential

Experience


Chartered Accountant with 2 years of corporate experience MBA Finance
2+ years of relevant experience

Education

Graduate/MBA (Finance)/CA
Salary Not Disclosed
Last Date 2026-02-15 00:00:00
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