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Facilio

Associate - Accounts Payable & Receivables (SaaS)

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Job Description

Who are we

Facilio is a fast-growing vertical SaaS company aiming to bring the SaaS revolution to the real-estate industry. Our category-first software solutions help reshape the way buildings are managed and operated today. We closed our Series B funding round at $35 million and have raised close to $50 million from some of the top investors in the industry - Accel, Dragoneer, and Tiger.

We are a passionate crew of SaaS enthusiasts. We don't blend in, we break barriers, stay true, and triumph together! We have a globally distributed workforce of 200 employees across our offices in New York City, Dubai, Chennai, Singapore, and Sydney.

What you'll own

As Financial personnel, you will be responsible for leading all matters relating to finance controllership function and corporate governance. Acting as a key interface with all the relevant stakeholders. Oversee all financial operations and key business reports.

  • Own and manage the Finance Playbook which will be the foundation/SOP for managing the accounting and finance operations.
  • Manage and handle the finance Techstack to its optimal efficiency.
  • Develop, implement, and maintain the internal accounting systems and financial controls consistent with Indian Corporate, Tax and Employee regulatory compliance, reporting and statutory filing requirements for the India entity.
  • Accurate and timely control over business results, finance and operating metrics, monthly closes, and internal/external reporting.
  • Manage accounts of 6 entities of Facilio and assist the consultant team in accounting and preparation of financial statements.
  • Handle tax returns, audits and compliances of all the group companies of Facilio.
  • Handle and manage the entire procurement to pay process.
  • Handle expense reimbursements.
  • Handle payroll process and payments for Facilio group.
  • Implement appropriate governance processes that assure compliance with US Corporate regulations and US Federal and local compliance mandates.
  • Anticipate borrowing needs and available funds for investment Ensure sufficient funds are available to cover operational and capital investment needs.
  • Monitor costs: make recommendations on ways to improve fixed costs.
  • Track, manage and ensure all secretarial compliances are met.
  • Track, manage and ensure all statutory compliance requirements are duly complied with.
  • Additional controller duties as necessary.

What makes you a great fit

Must have:

  • 2+ years of progressive corporate, accounting and business finance experience.
  • CA/CA inter.

Other Skills:

  • Ability to complete project goals and monitor overall program status.
  • Excellent interpersonal and communication skills.
  • Organizational skills with strong attention to detail
  • Self-starter with excellent time management skills and entrepreneurial spirit
  • Ability to work with passion, diligence, and integrity.

More Info

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About Company

Job ID: 145758833

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