Role Overview
We are looking for a qualified, detail-oriented, and ownership-driven Senior Accountant / Finance Manager who can independently manage accounting, compliance, reporting, cash flow visibility, revenue operations, and finance coordination for a growing global startup.
The role requires strong hands-on experience in day-to-day accounting, statutory compliance, reconciliations, invoicing, payables, receivables, MIS reporting, month-end / year-end closing, audit support, and direct coordination with founders, auditors, CA / CS, banks, consultants, vendors, customers, and internal teams.
The ideal candidate should also bring a finance-oriented mindset, with the ability to support leadership on cash flow tracking, budget vs actuals, cost control, investor reporting, due diligence readiness, and global finance-related activities.
Key Responsibilities
- Independently manage end-to-end accounting operations, including bookkeeping in Tally / Tally Prime, invoicing, payables, receivables, expense tracking, reconciliations, statutory compliance, audit support, documentation, and closing activities.
- Prepare MIS, cash flow updates, receivables / payables summaries, payment schedules, budget vs actual reports, expense trackers, and highlight overdue collections, urgent payments, cash flow gaps, pending liabilities, and major cost variances.
- Support revenue operations and business finance activities, including contract tracking, billing schedules, milestone invoicing, collections follow-up, revenue vs collection reporting, vendor / consultant / freelancer payouts, payroll-related outflows, subscriptions, and recurring expense tracking.
- Support global finance-related activities such as export invoicing, foreign inward / outward remittances, multi-currency accounting, forex gain / loss entries, FEMA / RBI documentation support, intercompany accounting, transfer pricing documentation support, and coordination with banks, CA, CS, consultants, and overseas stakeholders.
- Maintain accurate finance records, including invoices, expense vouchers, payment proofs, tax records, contracts, agreements, compliance documents, audit files, and data room materials to support audits, investor due diligence, funding rounds, and strategic business requirements.
- Improve finance processes by creating and maintaining trackers, templates, reconciliation formats, dashboards, approval workflows, documentation systems, and simple automation workflows using Excel / Google Sheets / accounting tools.
- Work closely with founders / senior leadership while maintaining a high level of integrity, confidentiality, ownership, and maturity in handling sensitive financial, payroll, investor, vendor, and company information.
Preferred Candidate Background
Candidates with experience in any of the following environments will be preferred:
- Startup or founder-led company
- SaaS, technology, software, AI, media-tech, or services company
- Company with international customers, vendors, or investors
- Company handling export invoices, foreign remittances, or multi-currency transactions
- Small or mid-sized company where the finance person has handled responsibilities independently
We are also open to considering the right candidate with strong ownership, relevant experience, and the ability to learn quickly.
Qualification
- Bachelor’s degree in Commerce, Accounting, Finance, or a related field.
- Master’s degree will be an added advantage.
- CA Inter, CMA Inter, MBA Finance, M.Com, or similar certification will be preferred but not mandatory.
Interested candidate can share their cvs on email - [email protected]
Pay: ₹600,000.00 - ₹1,000,000.00 per year
Ability to commute/relocate:
- Mumbai, Maharashtra (Mumbai): Reliably commute or planning to relocate before starting work (Required)
Location:
- Mumbai, Maharashtra (Mumbai) (Preferred)
Work Location: In person