Overview

About Company: A leading financial technology platform, this service specializes in empowering users to efficiently manage and grow their wealth.

Responsibilities:

1. Financial Control and Compliance

– Oversee the daily financial operations, ensuring all general ledger postings are spot-on

– Development and implementation of standard financial controls & accounting practices

– Manage accurate consolidations and reconciliations, keeping our financials in check

– Ensure company aligns with regulatory reporting requirements, tackling statutory, tax, legal, and compliance matters

– Coordinate timely completion and review of annual statutory accounts

2. Financial Planning and Analysis

– Work closely with management for the development of annual operating plans

– Cash flow planning and ensuring visibility of the same to the board

– Helping the management team raise capital – Equity + Debt

– Collaborate with business teams to analyze variances between forecasts and

– actuals and actively engage in monthly Group cost review meetings

– Responsible for producing MIS accounts ensuring compliance with all directives

– Responsible for clearing due diligence exercises by existing/incoming investors

Requirements:

1. Qualified CA with 9-12 years of experience working with either a Top 4 firm or a medium-to-large startup or Medium to large NBFC

2. Previous experience working on the IND AS accounting system is preferred but not mandatory

3. Demonstrated expertise in financial controls, with a proven ability to establish and/or lead high-performance teams.

4. Experience in managing functional boards and overseeing due diligence processes with Tier 1 investors.