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Job Title


Investran Specialist


Company : ThoughtFocus


Location : Bengaluru, Karnataka


Created : 2026-02-23


Job Type : Full Time


Job Description

Position Title : Investran Specialist Shift:UK Shift (4:00 PM – 1:00 AM) Employment Type : Full-time & Work from Office Office Location:ThoughtFocus Technologies Pvt Ltd, Par Dhanani Wilshire III Tech park, 492, RHB Colony, Mahadevapura, Bengaluru, Karnataka 560048 Overview This role is for a functional Investran Specialist providing daily front-to-back support for the platform's Front Office, Accounting, and Reporting modules. You will troubleshoot issues, manage system enhancements, and ensure data integrity. The position requires 4-8 years of hands-on Investran experience, a strong grasp of private equity accounting, and proficiency in SQL. You will act as a key liaison between Fund Accounting, IT, and business users to optimize system performance and support critical financial workflows.Key Responsibilities Provide day-to-day functional and technical support for the Investran platform (Front Office, Accounting, and Reporting modules). Partner with Fund Accounting and Investor Services teams to understand workflows and resolve system issues efficiently. Troubleshoot data discrepancies between Investran and other integrated systems (data warehouse, reporting tools, CRM, etc.). Manage system enhancements, upgrades, and patches, coordinating with IT and vendor support. Support the setup and maintenance of fund structures, capital calls, distributions, NAVs, and waterfalls in Investran. Assist in financial reporting, investor statements, and performance reporting using Investran reporting tools or SQL queries. Conduct user training sessions and create/update SOPs and process documentation. Collaborate with developers and business users to enhance automation and improve system efficiency. Participate in UAT (User Acceptance Testing) for new releases and integrations.Required Qualifications 4–8 years of hands-on experience supporting Investran (Accounting, Investor, or Reporting modules). Strong understanding of Private Equity fund structures, accounting principles (IFRS/US GAAP), and fund lifecycle (capital calls, distributions, valuations, waterfalls). Experience with fund administration workflows, including management fee and carry calculations. Proficient in SQL, Excel (advanced level), and exposure to reporting tools (e.g., SSRS, Power BI, Cognos). Familiarity with data integration tools and ETL processes is a plus. Strong analytical, problem-solving, and communication skills. Ability to manage multiple priorities in a fast-paced environment.Preferred Qualifications Bachelor’s or master’s degree in accounting , Finance, or Information Systems . CPA, CA, or CFA Level I/IIpreferred but not mandatory. Experience withother PE systems(e.g., eFront, Allvue, Anaplan, or Fund Accounting systems) is an advantage. Prior experience working in aPrivate Equity firmorfund administrator .