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Vutto

Head of Finance

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  • Posted 2 days ago
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Job Description

ABOUT US

Vutto is a full-stack, physical platform transforming the used two-wheeler market in India. We combine certified online listings with offline retail experience, in-house refurbishment, warranty support, and end-to-end documenting to deliver a seamless and trustworthy experience.

ABOUT THE ROLE

As the Finance Leader at Vutto, you will play a crucial role across the finance function fromcontrollership, accounting operations, AP/AR, and treasury, to FP&A. You will support both theoperational finance needs of a high-velocity, asset-heavy start-up and the strategic finance decisions made by the founders.

KEY RESPONSIBILITIES

  • Controllership & AccountingLead full accounting cycle: month-end & year-end close, general ledger maintenance, financial statements.Ensure statutory compliance (GST, TDS, audit readiness) and manage external audits. Design and maintain internal controls, policies, and processes to support scale.
  • Accounts Payable & Receivable (AP/AR)Manage vendor payments, vendor reconciliations, and optimize payables. o Oversee customer billing, collection process, and AR aging.Work to optimize working capital for a capital-intensive business (inventory of bikes,refurbishment cost).
  • Treasury & Cash ManagementMonitor liquidity, cash forecasting, and fund flows aligned with operations. o Manage bank relationships; negotiate credit lines, if needed. Ensure efficient capital allocation to support the refurbishment business.
  • FP&A & Business FinanceBuild and maintain financial models for demand forecasting, profitability, and cash burn. Prepare budgets, variance analysis, and monthly/quarterly financial reviews.Support founders with strategic business planning, fundraising insights, and growthinitiatives.
  • Cross-Functional PartnershipCollaborate with operations, supply, refurbishment, and sales teams to align financewith business operations.Provide business insights (e.g., unit economics of refurbishing two-wheelers, ROI on acquisitions) to stakeholders. Promote financial automation, dashboarding, and data-driven decision-making.

KEY REQUIREMENT

  • Qualified Chartered Accountant (CA) - mandatory.Proven experience in controllership or senior accounting role in a high-growth, operations heavy organization.
  • Strong FP&A / financial modelling experience.
  • Experience in managing treasury/working capital in a capital-intensive business is a plus. Excellent communication skills ability to present and influence at the leadership level.
  • Detail-oriented, with strong process orientation and hands-on approach. Comfortable working in a fast-paced, early-stage start-up environment.

Why Join us

  • Competitive pay.
  • Exciting opportunity to be part of high paced start-up.
  • Great work culture.
  • Learn and grow quickly.

Contact us to apply

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About Company

Job ID: 138352829