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.
1. 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
2. Reporting & Analysis
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
3. Business Partnering
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
4. 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
5. Compliance & Controls
Support compliance with Indian Accounting Standards (Ind AS)
Ensure data accuracy, financial discipline, and internal control processes
Assist during audits and internal reviews
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