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Posted 20 May, 2026

Finance - SPV Controllership - Associate

Careers at KKR
Gurugram Full Time
Reference: 102_700775_5991308004

KKR's Gurugram office provides best-in-class business operations services and solutions to our internal stakeholders and clients, drives organization-wide process efficiency and transformation, and reflects KKR's global culture and values of teamwork and innovation. The office contains multifunctional business capabilities and is integral in furthering the growth and transformation of KKR. The office was established with an initial concentration of finance, operations, and technology personnel, followed by the expansion of additional functions and capabilities. KKR's creation of a Gurugram office builds upon the firm's momentum in India and bolsters its existing presence in Mumbai.


TEAM OVERVIEW
Finance supports the strategic direction of the Firm by ensuring efficient and effective financial planning, analysis, budgeting, reporting, compliance, accounting, and stewardship of financial risks and controls. By doing so, we produce accurate financial information for decision making, ensure compliance with financial regulations and policies, and provide leadership for operational improvements, cost savings and strategic investments that align with the Firm's culture and long-term goals.

POSITION SUMMARY
Manager role within SPV Controllership responsible for supporting end-to-end financial oversight of APAC deal stacks, including APAC-based SPVs and aggregator entities. The role is heavily focused on oversight of third-party administrators and works in partnership with the global SPV Controllership team to support monthly financial closes, review administrator-prepared trial balances under multiple GAAPs including IFRS, and assist with distribution oversight. The individual must be well-versed in accounting standards with strong experience reviewing and challenging management accounts. While not required to be a valuation expert, the role requires familiarity with valuation concepts and fair value accounting (IFRS 13). The role also requires the ability to manage high transaction volumes across complex, multi-jurisdictional structures in a fast-paced environment. This position plays a key role in strengthening SPV controllership governance across APAC, including internal controls over financial reporting, intercompany oversight, liquidity monitoring and administrator performance management.

ROLES & RESPONSIBILITIES
Administrator Oversight & Monthly Close
Act as a primary point of oversight for third-party administrators across APAC-based SPVs and aggregator entities.
Coordinate and support monthly close processes, ensuring administrators deliver accurate and timely financial information, to support the valuation process.
Ensure administrator data flows accurately and completely into Snowflake, including validation of mappings, completeness, and consistency with administrator-prepared trial balances and supporting schedules, to support monthly close, reporting, and control requirements
Review administrator-prepared trial balances and supporting schedules under SFRS, HKFRS, US GAAP, and IFRS, escalating issues and judgement areas as required
Review impairment assessments and going concern memos prepared by administrators as part of administrator oversight, in line with relevant accounting standards, and escalate concerns as appropriate
Review quarterly administrator KPIs and performance metrics, and hold administrators accountable to agreed service levels and deliverables in accordance with Master Services Agreements (MSAs)

Financial Control, Budgets & Cash

Review and approve budgets at deal close to ensure SPVs are adequately funded for post-close and ongoing operating expenses
Monitor budgets versus actuals and investigate and escalate material variances outside approved budgets
Coordinate periodic cleardown of intercompany payables and receivables between SPVs and other KKR group entities, where applicable
Computation of management fees for SPV entities

Aggregators, Distributions & Holding Stack Oversight

Support financial oversight across the full investment holding stack.
Review and challenge distribution calculations and distribution lead sheets, ensuring consistency across the structure and alignment between Finance, Tax, and Accounting
Liaise with KKR Deal Teams/Operation Teams as required to support financial control matters relating to deal SPVs and aggregator entities

Governance, Audit & Compliance

Support annual external audits and tax compliance processes by coordinating with administrators, auditors, and internal Tax teams
Ensure audit and administrator billings are in line with agreed Engagement Letters and contractual arrangements
Initiate and coordinate invoices with KKR Accounts Payable and review submissions prior to approval in Concur

Ad-hoc, Process Improvement & Team Collaboration

Collaborate closely with members of the SPV Controllership team to gather, review, and validate data used for internal reporting, oversight, and control activities
Partner with Tax, Legal, and Treasury teams to support SPV-related processes, including distributions, audits, compliance requirements, and cash movements
Assist with ad-hoc requests and process-driven initiatives, including standardisation, efficiency improvements, and enhancement of administrator oversight processes
Support the development and maintenance of policies and procedures relating to SPV controllership and third-party administrators.
Assist with working with administrators in providing support for annual external audits on the SPVs in the Americas
Review debt service calendars monthly including the review of the accuracy of interest and principal payments
Lead coordination with lenders for any KYC inquiries
Assist with projects and ad hoc requests as needed, such as but not limited to:
o Assist in driving business process simplifications and efficiency initiatives
o Build out the policy and procedure documentation surrounding fund admins
Assist with various ad hoc projects and workstreams as required associated with financial control activity with respect to SPV Controllership
Collaborate with members of the SPV Controllership team to gather and review relevant data for reporting purposes.

QUALIFICATIONS
Graduate with 8-10 years of experience
ACA/ACCA/CIMA/CA qualification required
Prior Private Equity Fund Administration or Audit experience is required
Experience working within a financial services environment or comparable corporate environment
Ability to establish priorities and meet deadlines in a fast-paced, high growth environment
Team player with the ability to collaborate across Finance, IT, Operations, Tax, Legal, and Treasury
AI-minded individual with an interest in leveraging automation, data analytics, and emerging technologies to enhance controllership and oversight processes
Excellent Excel skills
Proven strong system skills/ability to quickly retrieve data from various systems and combine into KPIs for management
Ability to handle complex datasets, strong financial/analytical and problem-solving skills
Detailed oriented with a proven track record for accuracy
Professional demeanor and highly ethical
A risk mind-set with the ability to identify, solve, and mitigate perceived risks
Ability to work autonomously and as part of a team
Experience with SAP, Power BI, and SQL is a plus
Prior Big 4 audit experience is a plus
Familiarity in managing entities incorporated in Singapore, Hong Kong and Australia is a plus

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