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I applied via Referral and was interviewed in Sep 2024. There were 2 interview rounds.
There was one online exam
Derivatives are financial instruments whose value is derived from an underlying asset or group of assets.
Derivatives can be categorized into options, futures, forwards, and swaps.
Options give the holder the right, but not the obligation, to buy or sell an asset at a specific price within a specific time frame.
Futures are contracts to buy or sell an asset at a predetermined price on a specified date in the future.
Forwar...
NAV stands for Net Asset Value, which is the value of a fund's assets minus its liabilities.
NAV is calculated by subtracting the total value of a fund's liabilities from the total value of its assets.
The formula for NAV is (Total Assets - Total Liabilities) / Total Number of Outstanding Shares.
NAV is used to determine the price at which investors can buy or sell shares of a mutual fund or ETF.
Basic accounting questions
Financial market is a platform where buyers and sellers trade financial securities, commodities, and other fungible items.
Financial markets facilitate the exchange of assets such as stocks, bonds, currencies, and derivatives.
They provide a platform for companies to raise capital through issuing stocks or bonds.
Financial markets can be categorized into primary markets (new securities are issued) and secondary markets (e...
Investment banking involves providing financial services to corporations, governments, and other institutions.
Facilitates mergers and acquisitions
Underwrites securities offerings
Provides financial advisory services
Assists with raising capital for clients
Engages in trading and market-making activities
Net Asset Value (NAV) is the value of a fund's assets minus its liabilities, divided by the number of shares outstanding.
NAV is calculated by subtracting the fund's liabilities from its assets.
The result is then divided by the number of shares outstanding to determine the NAV per share.
NAV is used to determine the price at which investors can buy or sell shares of the fund.
It is an important metric for investors to tra
I applied via Company Website and was interviewed in Sep 2024. There was 1 interview round.
posted on 7 Apr 2023
I applied via Campus Placement and was interviewed in Mar 2023. There were 3 interview rounds.
I am a detail-oriented and analytical professional with a strong background in finance and accounting.
I have a Bachelor's degree in Accounting and have been working as a Fund Accountant for the past 5 years.
I am experienced in preparing financial statements, reconciling accounts, and analyzing investment portfolios.
I have a deep understanding of accounting principles and regulations, including GAAP and IFRS.
I am profic...
I am open to job locations that offer a strong financial industry presence and opportunities for professional growth.
I prefer job locations with a strong financial industry presence.
I am interested in locations that offer opportunities for professional growth and development.
I am open to considering different locations based on the specific job requirements and career prospects.
I value a supportive work environment and...
I expect a competitive salary that reflects my skills and experience, and I hope for regular performance-based hikes.
I believe my skills and experience warrant a competitive salary.
I hope for regular performance-based hikes to recognize my contributions.
I am open to negotiation and would like to discuss the salary and hike in detail during the interview.
I understand that the salary and hike will depend on the company's
I have 5 years of experience as a Fund Accountant in a leading financial institution.
Managed daily accounting activities for multiple investment funds
Performed NAV calculations and reconciliations
Prepared financial statements and reports for clients
Collaborated with portfolio managers and auditors
Implemented process improvements to enhance efficiency
I will be able to join within 2 weeks of receiving the offer.
I will need to give notice to my current employer, which typically requires 2 weeks.
I will need to complete any necessary paperwork and background checks before starting.
I will also need some time to prepare for the transition and tie up loose ends in my current role.
However, I am open to discussing the start date and can potentially join earlier if needed.
I am a detail-oriented and analytical professional with a strong background in finance and accounting.
I have a Bachelor's degree in Accounting and have been working as a Fund Accountant for the past 5 years.
I am proficient in financial analysis, reconciliation, and reporting.
I have experience in managing complex investment portfolios and ensuring compliance with regulatory requirements.
I am skilled in using accounting ...
Fund accounting is a specialized form of accounting used by organizations that manage funds or investments.
It focuses on tracking and reporting the financial activities of specific funds or investment portfolios.
It involves recording and reconciling transactions, calculating net asset values, and preparing financial statements.
Fund accountants ensure compliance with regulatory requirements and provide accurate and time...
NAV calculation is the process of determining the net asset value of a fund, which represents the value per share/unit.
NAV is calculated by subtracting the fund's liabilities from its assets.
Assets include investments, cash, and receivables, while liabilities include expenses and payables.
NAV = (Total Assets - Total Liabilities) / Total Shares/Units Outstanding.
NAV is typically calculated on a daily basis for mutual fu...
Assets are resources owned by a company, while liabilities are obligations or debts. They have subcategories and formulas to determine their values.
Assets are economic resources that provide future benefits to a company, such as cash, inventory, or property.
Liabilities are obligations or debts that a company owes to external parties, such as loans or accounts payable.
Subcategories of assets include current assets (e.g....
GAV stands for Gross Asset Value, which represents the total value of all assets in a fund. NAV stands for Net Asset Value, which is the value of a fund's assets after deducting liabilities.
GAV is the total value of all assets in a fund, including both realized and unrealized gains or losses.
NAV is the value of a fund's assets after deducting liabilities, such as management fees, operating expenses, and accrued expense...
Equity is ownership in a company, while a bond is a debt instrument issued by a company or government.
Equity represents ownership in a company and gives shareholders the right to vote and receive dividends.
Bonds are debt instruments where the issuer borrows money from investors and promises to repay the principal with interest.
Equity holders have a higher risk and potential for higher returns compared to bondholders.
Ex...
Capstock refers to the total value of a company's outstanding shares of stock.
Capstock is the market value of a company's equity capital.
It represents the total value of all the company's shares of stock.
Capstock can be calculated by multiplying the current market price per share by the total number of outstanding shares.
It is an important metric for investors and analysts to assess the overall value of a company.
Subsc...
Capstock can affect the NAV by impacting the valuation of the fund's investments.
Capstock refers to the capitalization of a stock, which is the total value of a company's outstanding shares.
If a fund holds capstocks that experience a significant increase or decrease in value, it can impact the Net Asset Value (NAV) of the fund.
An increase in the value of capstocks held by a fund can lead to an increase in the NAV, as t...
Management fees and performance fees are charges levied by investment managers for managing funds and achieving certain performance benchmarks.
Management fees are ongoing charges that cover the cost of managing the fund, including administrative expenses, research, and investment management.
Performance fees are additional charges based on the fund's performance relative to a benchmark or a predetermined hurdle rate.
Man...
Accounting rules are guidelines and principles that govern the recording and reporting of financial transactions.
Accounting rules ensure consistency and accuracy in financial reporting.
They provide a framework for recording and classifying transactions.
Modern accounting rules are often based on international standards, such as the International Financial Reporting Standards (IFRS) or the Generally Accepted Accounting P...
DR and CR are abbreviations for debit and credit, which are used in accounting to record financial transactions. Ledger is a book that contains all the accounts, while subledger is a subsidiary ledger that provides more detailed information for specific accounts.
DR stands for debit, which represents an increase in assets or a decrease in liabilities or equity.
CR stands for credit, which represents a decrease in assets ...
Corporate action refers to any event initiated by a publicly traded company that impacts its shareholders.
Corporate actions can include stock splits, dividends, mergers and acquisitions, rights issues, and spin-offs.
Stock split: When a company divides its existing shares into multiple shares, e.g., 2-for-1 split.
Dividends: Distribution of a portion of a company's earnings to its shareholders.
Mergers and acquisitions: W...
I expect the job to provide opportunities for growth, a supportive work environment, and a competitive salary.
Opportunities for professional development and advancement
A positive and collaborative work culture
A fair and competitive salary
Clear expectations and goals
Work-life balance
Supportive management and colleagues
Challenging and engaging work tasks
Opportunities to learn new skills and technologies
Recognition for ac
I have the necessary skills, experience, and passion for the role of Fund Accountant.
I have a strong background in accounting and finance, with a focus on fund accounting.
I have experience working with various financial instruments and investment strategies.
I am highly detail-oriented and have a track record of accuracy in financial reporting.
I am proficient in using accounting software and have a strong understanding ...
State Street Corporation is a leading financial services company known for its global presence and expertise in asset management and custody services.
State Street Corporation is one of the largest custodian banks in the world, providing services to institutional investors and asset managers.
The company has a strong global presence with offices in over 100 locations worldwide.
State Street is known for its expertise in a...
Yes, I have extensive knowledge of MS-Excel.
I am proficient in using Excel for financial analysis and reporting.
I have experience in creating complex financial models using Excel.
I am skilled in using Excel functions such as VLOOKUP, SUMIF, and Pivot Tables.
I have used Excel to prepare financial statements and reconcile accounts.
I am comfortable working with large data sets in Excel and have experience in data analysis
I applied via Approached by Company and was interviewed in Sep 2022. There were 4 interview rounds.
Mostly asked about the basics of derivatives and corporate action adjustments in the books
Journal entry for prepaid rent paid at beginning and end of month affecting net worth.
Debit prepaid rent account for the full amount paid at the beginning of the month
Credit cash account for the same amount
At the end of the month, debit rent expense account for the portion of rent used during the month
Credit prepaid rent account for the same amount
The entry at the end of the month affects the net worth as it reduces th...
RBI increases Repo rate to control inflation by reducing money supply and increasing cost of borrowing.
Repo rate is the rate at which RBI lends money to commercial banks.
When RBI increases Repo rate, it becomes expensive for banks to borrow money from RBI.
Banks then increase their lending rates to customers, which reduces borrowing and spending.
This reduces money supply in the economy, which helps in controlling inflat...
Options give the right but not the obligation to buy or sell an asset at a predetermined price, while futures require the buyer or seller to fulfill the contract at a specific date and price.
Options provide flexibility to the buyer as they can choose whether or not to exercise the option, while futures require the buyer or seller to fulfill the contract.
Options have a premium that the buyer pays to the seller for the r...
The share price has an impact on the issue of dividends as it affects the dividend yield and the amount of cash paid out to shareholders.
Share price affects the dividend yield, which is calculated by dividing the annual dividend per share by the share price.
A higher share price reduces the dividend yield, making the stock less attractive to income-seeking investors.
Share price also affects the amount of cash paid out a...
The entry for share purchased today credited into demat on T+2 is a debit to the cash account and a credit to the demat account.
Debit cash account
Credit demat account
Occurs on T+2
Reflects purchase of shares
The technical term for bond interest is coupon rate.
Coupon rate is the fixed annual interest rate paid on a bond.
It is expressed as a percentage of the bond's face value.
For example, a bond with a face value of $1000 and a coupon rate of 5% will pay $50 in interest annually.
Coupon payments are usually made semi-annually or quarterly.
I applied via Naukri.com and was interviewed in May 2021. There were 3 interview rounds.
Advance Excel, math and accounts
posted on 5 Jan 2022
I applied via Naukri.com and was interviewed in Dec 2021. There were 3 interview rounds.
Fund accounting is a specialized accounting system used by investment companies to track and manage their portfolio of investments.
It involves tracking the performance of individual investments and calculating the net asset value (NAV) of the fund.
It also involves ensuring compliance with regulatory requirements and preparing financial statements for investors.
Examples of investment companies that use fund accounting i...
Corporate actions refer to events initiated by a publicly traded company that can impact its shareholders and the value of its securities.
Corporate actions include events such as stock splits, dividends, mergers, acquisitions, rights issues, and spin-offs.
These actions can affect the ownership structure, share price, and overall value of a company.
For example, a stock split may increase the number of shares outstanding...
Yes, dividends impact NAV (Net Asset Value).
Dividends are a distribution of a portion of a company's earnings to its shareholders.
When a company pays out dividends, it reduces its retained earnings and cash balance.
As a result, the NAV of a fund that holds shares of the company will decrease.
The impact of dividends on NAV depends on the size of the dividend and the fund's holdings.
For example, if a fund holds a signifi...
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Senior Analyst
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State Street Corporation
BNY
Citibank
JPMorgan Chase & Co.