Financial Reporting: End-to-end ownership of timely and accurate publishing of Consolidated and Standalone Financial Statements as per applicable accounting standards (Ind AS) for a publicly listed entity (₹600 Cr revenue).
Deliver comprehensive financial insights on P&L, Balance Sheet, and Cash Flow to the CFO and senior leadership through detailed analysis and reporting.
Audit, Assurance & Risk Management: Independently drive and ensure timely closure of statutory audits, internal audits, and IFC/IFCR compliance.
Establish and continuously strengthen financial controls, policies, and governance frameworks.
Oversee and optimize month-end close, payroll, billing, AP, AR, and taxation processes to improve efficiency and accuracy.
Month Close, Payroll, AP & AR Process supervision: Derive the change to optimize efficiencies for Payroll, Billing, AR, AP, Taxation processes.
Support short-term and long-term business strategies through financial planning, insights, and risk evaluation.
Responsibilities:
Financial Accounting & Reporting:
Lead and supervise end-to-end accounting operations including GL, AP, AR, Billing, Payroll, and Revenue Recognition in compliance with Ind AS / IFRS principles.
Ensure accurate and timely monthly, quarterly, and annual book closure in line with group reporting timelines.
Drive preparation and review of standalone and consolidated financials.
Financial Analysis & Business Partnering:
Conduct detailed variance analysis (MoM, QoQ, YoY) across P&L and Balance Sheet.
Provide actionable insights by comparing actuals vs AOP (Annual Operating Plan) and collaborate closely with the FP&A team.
Partner with CFO, CEO, and leadership team to support strategic decision-making and performance improvement initiatives.
Audit & Compliance:
Manage end-to-end coordination with Big 4 auditors for statutory, internal, tax, and IFC audits.
Ensure timely closure of audit observations and maintain robust audit documentation.
Ensure compliance with Ind AS, Companies Act, SEBI regulations, and other statutory requirements.
Internal Controls & Risk Management:
Design, implement, and continuously enhance Risk Control Matrix (RCM) and internal financial controls.
Drive SOX/IFC compliance frameworks and strengthen governance practices.
Identify financial and operational risks and implement mitigation strategies.
Process Optimization & Transformation:
Drive automation, process improvements, and system enhancements across finance functions.
Improve efficiency in order-to-cash (O2C), procure-to-pay (P2P), and record-to-report (R2R) cycles.
Leverage tools like SAP/Oracle/ERP systems, Power BI, and advanced Excel for reporting and analytics.
Treasury & Working Capital Management:
Oversee cash flow planning, working capital optimization, and banking relationships.
Monitor receivables, payables, and liquidity to ensure optimal fund utilization.
Key Requirements:
10–15 years of experience in Finance Controllership / Business Finance / FP&A roles
Chartered Accountant (CA) – Mandatory
Strong experience in the BPO/BPM or IT Services industry.
Deep expertise in Ind AS, financial reporting, consolidation, and revenue recognition
Proven experience handling Big 4 audits and listed company compliance.
Strong understanding of IFC, SOX, risk management, and governance frameworks.
Hands-on experience with ERP systems (SAP/Oracle), Power BI, and advanced Excel
Strong leadership skills with experience managing teams and cross-functional stakeholders.
Excellent analytical, communication, and stakeholder management capabilities.