Asset Management - Fund Controller - Vice President
JPMorgan Chase · Bangalore, India · 16h ago
J.P. Morgan Asset & Wealth Management delivers industry-leading investment management and private banking solutions. Asset Management provides individuals, advisors and institutions with strategies and expertise that span the full spectrum of asset classes through our global network of investment professionals. Wealth Management helps individuals, families and foundations take a more intentional approach to their wealth or finances to better define, focus and realize their goals.
Unlock your potential by owning complex multi-fund reporting and technical accounting while shaping stronger controls, insights, and decision-making.
As a Fund Controller Vice President in Asset Management team, you oversee end-to-end fund and property financial reporting across multiple funds and investment vehicles. You serve as a technical accounting authority across reporting standards, ensuring accuracy, strong controls, and timely audit outcomes. You partner with senior stakeholders to deliver clear insights that support strategic planning and complex decision-making.
Job Responsibilities:
- Oversee quarter-end property financial statements, adjustments, variance analysis, and asset and debt appraisals, providing strategic direction on complex technical accounting matters
- Direct the review of fund financial statements, net asset value pricing, and performance metrics including time-weighted returns, internal rate of return, and equity multiple across multiple funds and investment vehicles
- Serve as technical accounting authority for International Financial Reporting Standards and United States Generally Accepted Accounting Principles, advising on complex accounting policy matters
- Implement financial reporting processes, reconciliations, and controls while driving process improvements across the portfolio
- Analyze investment financial statements to confirm accuracy and completeness while identifying trends and risks
- Manage relationships with senior controllers, portfolio managers, auditors, administrators, and investors as the primary point of contact for complex financial matters
- Coordinate audit activities with external auditors to support timely completion and alignment on deliverables
- Resolve audit findings through documented corrective actions and follow-through on remediation
- Approve funding requests by validating documentation and alignment with investment strategies
- Coach team members through technical guidance and ongoing professional development
- Facilitate senior-level meetings and executive presentations to align stakeholders and gain consensus on complex financial and operational issues
Required qualifications, skills, and capabilities:
- Hold a Chartered Accountant, Certified Public Accountant, or Certified Management Accountant qualification
- Demonstrate 8+ years of progressive experience in fund accounting, reporting, controllership, or audit
- Evidence 3+ years of leadership experience
- Apply deep understanding of alternative fund structures including private equity, real estate, infrastructure, and hedge fund vehicles
- Interpret International Financial Reporting Standards and United States Generally Accepted Accounting Principles to resolve complex technical accounting matters
- Perform detailed variance analysis with strong numerical accuracy and attention to detail
- Communicate complex financial information clearly to senior management and external stakeholders
- Present analysis and recommendations effectively in senior forums
- Manage competing priorities under pressure while meeting tight deadlines