Role Summary
We are seeking a qualified or semi-qualified CA / CMA / MBA Finance professional with 3–6 years of experience to manage financial reporting, audits, and statutory compliance (GST, TDS, Income Tax, Companies Act). The role involves account reconciliations, strengthening internal controls, driving ERP/automation initiatives, and supporting cash flow, budgeting, and P&L analysis for business decision-making. Ideal candidates bring strong analytical skills, ERP hands-on experience, and an ownership mindset, with startup/high-growth exposure preferred.
Key Responsibilities
Financial Reporting & Accounting
● Support the preparation of monthly, quarterly, and annual financial statements
● Assist in the consolidation of group financials
● Ensure accuracy, completeness, and integrity of accounting records
● Perform account reconciliations and conduct variance analysis
Audit & Compliance
● Coordinate with statutory, internal, and tax auditors to ensure timely audit closure and documentation
● Monitor compliance with the Companies Act, Income Tax, GST, and other applicable regulations
● Maintain audit schedules, trackers, and supporting records
● Manage filing of GST returns, TDS, and Income Tax compliances
● Support tax audits and respond to tax queries/notices
● Ensure accurate reconciliation between books of accounts and statutory filings
Internal Controls & Process Improvement
● Strengthen internal controls and financial governance frameworks
● Identify process gaps and inefficiencies, and recommend improvements
● Support implementation of SOPs and automation/ERP initiatives (Zoho, SAP, Oracle, etc.)
Treasury & Financial Planning
● Assist in cash flow planning and fund utilization tracking
● Support banking operations, approvals, and reconciliations
● Contribute to budgeting and forecasting processes
● Analyze P&L performance and support cost optimization initiatives
● Assist in management reporting to enable informed business decisions
Required Qualifications & Skills
● CA / CMA (Qualified or Semi-Qualified), CA Inter, or MBA Finance
● 3–6 years of relevant experience in Finance/Controllership
● Strong understanding of accounting standards, statutory compliance, and audit processes
● Hands-on experience with ERP systems (Zoho, SAP, Oracle, or similar)
● Sound knowledge of GST, Income Tax, and Companies Act requirements
● Strong analytical, problem-solving, and attention-to-detail skills
● High sense of ownership and accountability
Preferred Skills
● Experience in a startup or high-growth environment
● Exposure to group consolidation and international reporting
● Familiarity with automation tools and finance system integrations
● Ability to manage multiple priorities under tight deadlines
● Strong collaboration skills with cross-functional teams
● Commitment to confidentiality and robust internal controls
Pay: Up to ₹2,300,000.00 per year
Benefits:
- Health insurance
- Provident Fund
Ability to commute/relocate:
- Bangalore City, Bengaluru, Karnataka: Reliably commute or planning to relocate before starting work (Required)
Application Question(s):
- Which ERP tool have you work with?
- Are you comfortable with a 6 day work structure (Mon-Sat) ?
- Do you have your own laptop which you can use for work?
- What's your current CTC?
- What's your expected CTC?
- What's your Notice Period?
Experience:
- Treasury management & Financial Planning: 2 years (Required)
Location:
- Bangalore City, Bengaluru, Karnataka (Preferred)
Work Location: In person