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Job Title


Manager – Treasury Operations 3–8 years of experience in NPS operations, Mutual fund operations, Pen


Company : Talent Corner HR Services Pvt Ltd


Location : Mumbai, Maharashtra


Created : 2026-02-23


Job Type : Full Time


Job Description

Manager – NPS Fund Operations/ Treasury Operations Job Description : Key Responsibilities 1. Treasury Operations Management Manage daily cash flow monitoring for NPS schemes. Coordinate with brokers, custodians, banks, and clearing corporations for fund settlements. Oversee corporate action processing (dividends, interest, redemptions, bonus, splits). Ensure timely settlement of deployment of inflows and funding of redemptions as per investment guidelines. Monitor reconciliation of bank, custodian, and fund accounting records. Support investment team with operational inputs for trade execution and settlement.2. NAV Process & Fund Accounting Oversight Oversee daily NAV calculation for NPS schemes in coordination with custodians/trustee Banks, CRAs. Ensure accurate valuation of equity, debt, government securities, money market instruments, and derivatives as per applicable guidelines. Review and validate expense accruals, management fees, and other expense calculations. Monitor exception reports and resolve NAV discrepancies within regulatory timelines. Ensure adherence to PFRDA NAV disclosure norms and cut-off timings.3. Regulatory & MIS Reporting Prepare and review PFRDA-mandated reports, including: Daily / monthly NAV and portfolio disclosures Scheme-wise investment compliance reports Risk and exposure reports Coordinate timely submission of data to CRA, Trustee Bank, and PFRDA as applicable. Commented [JM1]: HR to update Prepare internal MIS dashboards for senior management. Support periodic disclosures on returns, asset allocation, and performance metrics.4. Audit & Compliance Support Act as the primary operations liaison for: Internal audits Statutory audits PFRDA inspections Concurrent and system audits Ensure closure of audit observations within defined timelines. Maintain proper SOPs, process notes, and control documentation. Support compliance/risk team in ensuring adherence to PFRDA Act, Regulations, and circulars.5. Process Improvement & Controls Strengthen operational controls to minimize errors and operational risk. Drive automation and system enhancements in NAV, reconciliations, and reporting. Coordinate with technology vendors, CRA, and custodians for system upgrades. Participate in new scheme launches or regulatory changes impacting operations.6. Regulatory & Compliance Support Ensure adherence to PFRDA and internal fund house guidelines. Support timely filings, reporting, and audit processes. Maintain accurate documentation and workpapers for compliance review.7. Coordination & Stakeholder Management Work closely with Fund Managers, CRAs, Custodians, Brokers, Compliance, and Technology teams. Respond to queries related to NAV, fund valuation, and operational issues. Participate in projects for process automation and system enhancements.Qualification & Experience : CA / MBA (Finance) / ICWA / Commerce Graduate Relevant certifications in pension funds, securities markets, or investment operations preferred. 3–8 years of experience in NPS operations, mutual fund operations, pension funds, or institutional asset management. Prior experience with PFRDA-regulated entities is highly desirable.Key Skills & Competencies : Strong understanding of NPS architecture, PFRDA regulations, and pension fund operations. Knowledge of fund accounting, NAV calculation, Audit and treasury processes. Experience in handling custodian, CRA, trustee bank interactions. High attention to detail and analytical skills. Strong documentation and audit-handling capability. Proficiency in Excel, fund accounting systems, and MIS tools.Interested candidates can send resume on anita.kulkarni@