Role Overview
We are looking for a dynamic and detail-oriented Finance Manager to manage financial controllership, Ind AS compliance, statutory reporting, and FP&A activities. The role requires hands-on ownership of accounting, financial reporting, budgeting, forecasting, and business performance analysis, while partnering closely with internal stakeholders.
- Financial Accounting & Controllership
Manage end-to-end accounting operations including GL, AP, AR, fixed assets, and month-end closures
Ensure accuracy, completeness, and timeliness of financial books
Strengthen internal controls, SOPs, and financial governance processes
Support audits (statutory, internal, tax) and ensure smooth closure
Prepare monthly and quarterly reports including P&L, Balance Sheet, and Cash Flow
Analyze revenue, cost, margins, and business performance trends
Identify cost-saving and profitability improvement opportunities
Work with Sales, Operations, and HR teams to understand business drivers
Support leadership with data-backed financial insights
Help evaluate hiring, pricing, and operational decisions from a financial lens
- Financial Modeling & Scenario Planning
Build and update financial models for growth, ROI, and business scenarios
Support capital allocation and investment decisions
Assist with scenario and sensitivity analysis
Support compliance with Indian Accounting Standards (Ind AS)
Ensure data accuracy, financial discipline, and internal control processes
Assist during audits and internal reviews
Qualification: Chartered Accountant (CA) — Mandatory
Candidate Profile
- 2–5 years of experience in FP&A, Business Finance, or Corporate Finance
- Strong understanding of P&L, cash flow, and financial statements
- Advanced Excel skills; experience with financial modeling preferred
- Ability to work with cross-functional teams
- Familiarity with Ind AS and financial reporting standards
- Experience in startups, fintech, or high-growth companies is a plus