Overview
About Company: A fast-growing, impact-driven startup reshaping its industry with innovation, agility, and purpose.
Job Description:
– Financial Planning and Analysis: Prepare budgets, forecasts, and financial models to support strategic decision-making and business growth.
– Accounting and Compliance: Oversee daily accounting operations, ensure compliance with statutory requirements (GST, TDS, Income Tax, ROC filings, etc.), and coordinate with external auditors.
– Cash Flow Management: Monitor cash flows, manage working capital, and ensure optimal allocation of financial resources.
– Investor Reporting: Prepare monthly/quarterly financial reports, MIS, and decks for investors and stakeholders.
– Internal Controls: Implement and maintain strong internal controls to safeguard company assets and ensure financial accuracy.
– Process Improvement: Streamline financial processes and introduce automation tools to enhance efficiency.
– Payroll Management: Manage payroll, employee reimbursements, and compliance with labor laws.
– Vendor Management: Oversee vendor payments, agreements, and ensure timely reconciliation of accounts.
Skills & Qualification:
– Chartered Accountant (CA) with at least 1 year of post-qualification experience.
– Prior experience working in a startup or fast-paced environment is mandatory.
– Strong understanding of financial accounting principles, tax laws, compliance, and business finance.
– Ability to work with complex financial data and derive actionable insights.
– High degree of accuracy and attention to financial details and reporting.
– Strong written and verbal communication skills to collaborate effectively with leadership and external partners.
– Hands-on experience with accounting software (like Zoho Books, Tally, QuickBooks) and MS Excel.