Job Description
About Exavalu
Founded in 2018 and headquartered in Newport Beach, California, Exavalu is built by former CIOs, CXOs, and Big 5 consulting leaders. We specialize in delivering enterprise-scale digital transformation solutions across Insurance, Banking & Financial Services, and Healthcare industries.
With delivery centers across India, Canada and the US, Exavalu is recognized for its agile culture, innovation mindset, and employee-first environment. We are committed to building modern, scalable, and business-driven technology solutions for global enterprise clients.
Why Exavalu
• Opportunity to work with global enterprise customers
• Exposure to modern technology stacks and enterprise transformation projects
• Strong learning, growth, and innovation-driven culture
• Collaborative engineering environment with high-impact project exposure
Position: Head of Finance
Experience: 15 years - 18 years
Location: Kolkata,Chennai,Hyderabad (Hybrid)
Employment Type: Full-Time
Key Responsibilities
Strategic Financial Management
- Drive financial planning and strategy for India and US entities, aligned with global business goals.
- Advise leadership on profitability, pricing, project costing, and expansion plans.
- Ensure adherence to financial regulations in both India and the US.
Financial Planning & Reporting
- Oversee preparation of budgets, forecasts, and MIS reports across both geographies.
- Consolidate financial statements (India & US) and ensure timely reporting to management.
- Ensure compliance with Ind-AS/Indian GAAP, US GAAP, and IFRS (if applicable).
- Track and report KPIs (margins, cash flow, receivables, utilization).
Accounting & Compliance
- Supervise end-to-end accounting, taxation, and audits for India & US operations.
- Ensure compliance with:
- India: GST, Income Tax, TDS, Companies Act, FEMA, SEZ/STPI regulations.
- US: Federal & State tax filings, US GAAP, 401(k), payroll compliance, SOX (if applicable).
- Manage transfer pricing, inter-company transactions, and cross-border fund movements.
- Coordinate with internal/external auditors in both geographies.
Treasury & Cash Flow Management
- Manage working capital, forex, and inter-company fund flows.
- Build banking relationships in India and the US.
- Monitor global cash flow to ensure operational liquidity and cost efficiency.
Leadership & Team Management
- Lead finance & accounts teams across India and coordinate with US counterparts/outsourced partners.
- Drive automation and ERP implementation for seamless global reporting.
- Mentor team members and instill financial discipline across the organization.
Key Requirements
- Education: Chartered Accountant (CA) / CPA / MBA (Finance). Dual qualifications (CA + CPA) preferred.
- Experience: 17+ years of experience, with at least10+ years in a leadership role managing India + US finance and accounts.
- Strong expertise in:
- Indian GAAP, Ind-AS, GST, Income Tax, FEMA.
- US GAAP, Federal & State taxation, payroll compliance.
- Transfer pricing & cross-border taxation.
- Experience in handling multi-currency transactions, global client billing, and revenue recognition (ASC 606/IFRS 15).
- Proven ability to liaise with auditors, tax advisors, bankers, and regulatory authorities in both countries.
- Strong leadership, stakeholder management, and communication skills.
Preferred Attributes
- Experience in IT/ITES/technology services sector.
- Exposure to M&A, fundraising, investor relations, and global expansion.
- Familiarity with ERP/financial systems.
- Ability to thrive in a fast-paced, global service environment.
More Info
Key Skills
IFRS 15
multi-currency transactions
Federal State taxation
ERP financial systems
payroll compliance
Ind-AS
global client billing
ASC 606
cross-border taxation
