Job Title:  Delivery Manager | Fund Accounting and Reporting | Delhi CEC | Accounting & Reporting Assurance

Delivery Manager | Fund Accounting and Reporting | Delhi CEC | Accounting & Reporting Assurance
Job requisition ID : 111916 
Location: Delhi CEC
Entity: Deloitte South Asia LLP 

The Team 

Assurance is about much more than just the numbers. It’s about attesting to accomplishments and challenges and helping to assure strong foundations for future aspirations. Deloitte exemplifies the what, how, and why of change so you’re always ready to act ahead. Learn more about Audit & Assurance Practice. 

 

Your work profile 

As a Delivery Manager in our Assurance team, you’ll build and nurture positive working relationships with teams and clients with the intention to exceed client expectations: - 

 
  • Review and approve management fee, performance fee / carried interest, and other fund-level calculations.
  • Ensure fee computations are aligned with fund agreements, hurdles, waterfalls, and catch-up mechanisms.
  • Serve as the escalation point for complex fee-related queries from clients and internal teams.
  • Oversee end-to-end fund accounting for real estate funds across multiple structures (closed-ended / open-ended).
  • Own and review the finalization of NAV, CUV, and NUV, ensuring accuracy and compliance with fund governing documents and applicable accounting standards.
  • Ensure timely and accurate NAV delivery, including validation, complex variance analysis, and resolution of issues.
  • Act as the final reviewer for all critical accounting outputs prior to client delivery.
  • Oversee expense accruals, booking, and reconciliations at both fund and property levels.
  • Ensure completeness and accuracy of operating expenses, fund expenses, and month/quarter-end close activities.
  • Drive consistency and best practices across expense accounting processes.
  • Review and sign off on investor reports, including capital account statements, drawdowns, distributions, and performance reporting.
  • Act as a primary client-facing contact, addressing queries related to NAV, fees, financials, and investor-level reporting.
  • Build strong, long-term client relationships and ensure high levels of client satisfaction.
  • Oversee preparation and review of fund financial statements (balance sheet, income statement, cash flow, and notes).
  • Lead statutory audits, investor audits, and regulatory reporting, including coordination with auditors and internal stakeholders.
  • Ensure full compliance with IFRS or other applicable accounting standards and internal control requirements.
  • Act as the key engagement lead for clients, fund managers, auditors, tax advisors, and internal leadership.
  • Manage expectations, communicate timelines, and proactively address risks or delays.
  • Present fund performance, accounting outcomes, and risk items to senior stakeholders when required.
  • Own PMO responsibilities for assigned funds, including planning, tracking deliverables, milestones, and dependencies.
  • Ensure strict adherence to SLAs, KPIs, and service quality metrics.
  • Monitor workload, capacity planning, and delivery risks; escalate proactively where required.
  • Drive continuous improvement initiatives around process efficiency, standardization, and automation.
  • Utilize Yardi for fund and property accounting, NAV calculations, and reporting.
  • Use Workiva for financial reporting, disclosures, and collaborative reporting processes.
  • Contribute to process improvement initiatives, documentation, and standardization efforts

 

Key skills required:  

 
  • 7–12+ years of relevant fund accounting experience, with significant exposure to real estate funds.
  • Strong expertise in NAV, CUV, and NUV finalization.
  • Deep understanding of management and performance fee structures.
  • Proven experience managing investor reporting and fund financial statements.
  • Hands-on working knowledge of Yardi and Workiva.
  • Demonstrated experience in client engagement, SLA governance, and team leadership.
  • Qualification : CA / CPA / ACCA/MBA or equivalent qualification.
  • Experience working with global clients and geographically distributed teams.
  • Strong analytical, problem-solving, and decision-making skills.
  • Excellent communication, presentation, and stakeholder management capabilities