Investment Controllership
Voya India
2 - 5 years
Bengaluru
Posted: 21/02/2026
Job Description
VOYA INDIA Overview
VOYA INDIA, formerly known as VFI SLK, is a technology-driven, business process transformation company, driving the evolution of the financial services customer experience through the art of technology, innovation, and human creativity. As a subsidiary of Voya Financial Inc, we are dedicated to delivering cutting-edge solutions to Voyas Health (employee benefits), Wealth (Retirement) and Investment Management Business. Our focus lies in crafting inventive customer-centric solutions by digitizing, automating, and optimizing technology and business processes. We are committed to fostering an environment that celebrates learning, growth and inclusivity while developing and deploying innovative and impactful solutions for Voya Financial Inc.
More information is available at : - www.voyaindia.com
Profile Description
The Investment Controllership Accounting and Reporting is responsible for ensuring accurate, timely, and controlled financial reporting of complex investment portfolios. This role focuses on fixedincome asset classes, derivative instruments, valuation analytics, and financial performance reporting. The ideal candidate combines strong investment product knowledge, advanced accounting expertise (GAAP/IFRS), and handson analytical capability using tools such as Power BI and SQL.
The candidate will collaborate closely with portfolio management, risk, operations, and accounting teams to deliver highquality insights, reconcile financial results, and maintain robust control standards in a fastpaced, dataintensive environment.
Roles and Responsibilities
- Develop deep understanding of fixedincome investment products including corporate bonds, mortgage loans, CLOs, CMOs, and ABS.
- Analyze impacts of interest rates, prepayments, liquidity, and credit spreads on valuations, income recognition, and portfolio performance.
- Apply strong working knowledge of derivatives such as swaps, futures, and forward contracts, and evaluate their use in hedging interest rate, credit, and FX exposures.
- Ensure accurate accounting treatment of investment transactions, including income recognition, fairvalue (marktomarket) measurement, impairment assessment, and realization events.
- Apply strong GAAP/IFRS knowledge to the measurement, classification, and reporting of investment products.
- Support daily and monthly corporate finance processes, including balance reconciliation between investment warehouse systems and the general ledger.
- Partner with internal teams to ensure completeness, accuracy, and timely resolution of discrepancies and financial reporting issues.
- Investigate variances when financial results differ from expected or modeled outcomes.
- Conduct rootcause analysis through collaboration with portfolio management, risk, operations, and accounting teams. Document and implement remediation steps ensuring controlled and timely issue closure.
- Utilize advanced Power BI or SQL skills to manage, structure, and analyze large and complex investment datasets.
- Develop dashboards, automated reporting tools, and analytical views that explain financial drivers, variances, and emerging trends.
- Build and refine income projection or valuation models using scenario analysis, market data, and macroeconomic assumptions (interest rates, spreads, liquidity, credit fundamentals).
- Act as a strategic partner to portfolio managers and business leaders by providing analytical insights that support investment decisions, hedging strategies, financial projections, and business planning.
- Communicate findings in a clear, concise, and datadriven manner to senior leadership and crossfunctional stakeholders.
Knowledge and Experience
- 310 years of handson experience working with fixedincome portfolios and derivative instruments including swaps, futures, and structured products
- Professional Qualifications: Chartered Accountant (CA) or Chartered Financial Analyst (CFA) strongly preferred, reflecting deep expertise in financial reporting, investment analysis, and risk evaluation
- Strong command of GAAP/IFRS investment accounting including fairvalue measurement, derivative accounting, hedge strategies, income recognition, and realization events
- Demonstrated proficiency in Power BI and SQL, with ability to structure, analyze, visualize, and automate reporting on largescale investment datasets
- Proven ability to build and maintain income projection models, valuation models, and scenariodriven analytical tools.
- Highly selfdirected, with strong ownership and accountability.
- Thrives in a fastpaced, dataheavy environment requiring analytical depth and operational precision.
- Able to independently identify issues, manage ambiguity, solve complex problems, and uphold strong control discipline.
- Excellent communication and collaboration skills with crossfunctional teams
- Flexibility to work in shifts
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