INTERNSHIP DETAILS

Industrial Trainee - Fund Accounting - GIFT City

CompanyDSP Asset Managers Pvt. Ltd.
LocationGandhinagar
Work ModeOn Site
PostedJanuary 6, 2026
Internship Information
Core Responsibilities
The role involves executing activities related to NAV and various reconciliations, as well as preparing regulatory and scheme-specific reports. Additionally, the trainee will support audits, maintain relationships with custodians and banks, and ensure documentation of business processes.
Internship Type
intern
Company Size
12
Visa Sponsorship
No
Language
English
Working Hours
40 hours
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About The Company

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About the Role
<p style=" line-height:normal;"><strong>Objectives of the Role:</strong></p><ul type="disc"><li style=" line-height:normal;">Responsible for accurate and timely execution of activities pertaining to NAV, and various reconciliations such as FA, Custody &amp; Cash.</li><li style=" line-height:normal;">Preparation and dissemination of regulatory and scheme-specific reporting (including IFSCA, SEZ &amp; FPI).</li><li style=" line-height:normal;">Supporting administrative tasks and periodic filings related to SEZ.</li><li style=" line-height:normal;">Keeping abreast of FPI &amp; IFSCA regulations and implementing any required changes.</li><li style=" line-height:normal;">Supporting other business areas by executing shadow NAV and ancillary processes such as TER, valuation of securities, etc., as a parallel control to outsourced FA activity, in coordination with a senior team member.</li><li style=" line-height:normal;">Reporting and settlement of trades.</li><li style=" line-height:normal;">Carrying out various banking activities.</li><li style=" line-height:normal;">Monitoring capital activity and reporting cash flow to the Portfolio Manager.</li><li style=" line-height:normal;">Supporting audits for various funds.</li><li style=" line-height:normal;">Onboarding brokers or vendor counterparties when required, including complete documentation.</li><li style=" line-height:normal;">Maintaining relationships with custodians, banks, and fund accountants.</li><li style=" line-height:normal;">Working closely with the Investment and Compliance teams on various deliverables.</li><li style=" line-height:normal;">Ensuring clear and precise documentation of business processes and controls.</li><li style=" line-height:normal;">Gaining sound technical knowledge of NAV and other related processes</li></ul><p style=" line-height:normal;"><strong>Years of Experience:</strong></p><ul><li>Freshers</li></ul>
Key Skills
NAVReconciliationsRegulatory ReportingSEZFPIAuditsDocumentationCash Flow MonitoringTrade SettlementBanking ActivitiesValuation of SecuritiesInvestment ComplianceRelationship ManagementTechnical KnowledgeAdministrative SupportShadow NAV
Categories
Finance & AccountingAdministrative