We never ask for payment as part of our selection process, and we always contact candidates via our corporate accounts and platforms. If you are approached for payment, this is likely to be fraudulent. Please check to see whether the role you are interested in is posted on our career website.About TMF GroupTMF Group is a leading global provider of high-value business services to clients operating and investing globally. We focus on providing specialized and business-critical financial and administrative services that enable our clients to operate their corporate structures, finance vehicles and investment funds in different geographical locations.TMF India is a Great Place to Work, ISO & ISAE certified organization.Key Responsibilities:Team Management: Supervising and providing guidance to the Fund services team, ensuring efficient workflow and high-performance standards.Client Relationship Management: Acting as the primary point of contact for critical clients like Morgan Stanley and GIC, managing client expectations, addressing inquiries, and resolving issues promptly.Technical Guidance: Offering expertise and technical support to the team members, assisting in problem-solving, and ensuring adherence to best practices in Fund Administration services.Operational Oversight: Monitoring day-to-day operations, identifying areas for improvement, and implementing strategies to enhance efficiency and service quality.Escalation Handling: Managing escalations from clients or internal stakeholders effectively, resolving conflicts, and ensuring timely resolution of issues to maintain client satisfaction.Training and Development: Providing training, mentorship, and professional development opportunities to team members to enhance their skills and capabilities.Reporting and Analysis: Generating reports, analyzing data, and providing insights to support decision-making and drive continuous improvement in service delivery. * Monthly compliances- To fetch data from SAP B1, coordinate with AP/AR/GL and required data for GST and TDS payments/returns, computation, and finalization.Tax Accounting - Providing entries to concerned team for TDS and GST payment and utilization and post correction entries if any.Coordination with team for monthly review and seek opinions if any * Balances of GST/TDS in books and reconciliation with return filed and electronic credit ledger.
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