OfBusiness Group is India’s largest and most efficient supply chain platform, which serves as a one-stop
solution for small and medium businesses to alleviate all major pain points—market discovery, raw
materials, financing, and digital transformation—everything served to customers at their fingertips, us
being tech-enabled.
We are positioned as one of India's largest & most profitable unicorns that is following a relentless
pursuit of excellence and unparalleled growth.
The span of our business portfolio, wherein each venture excels in its respective domain, includes
- Manufacturing & Processing
Financial Reporting, Accounting & MIS
Financial Statements: Lead the timely closing and preparation of monthly, quarterly, and annual financial statements in compliance with relevant standards ([GAAP/IFRS/Ind AS]).
Advanced MIS & Variance Analysis: Deliver accurate Management Information Systems (MIS) reporting; analyze variances between actuals, budgets, and forecasts to identify revenue leakages or cost overruns.
Fixed Assets & Inventory Accounting: Oversee the fixed asset register, depreciation schedules, and inventory valuation controls.
Budgeting, Forecasting & Commercial Support
Financial Planning: Drive the annual budgeting process and periodic financial forecasting across departments; track expenditures against targets.
Capex Evaluation: Review and validate Capital Expenditure (Capex) proposals, conducting payback period and ROI analysis to support investment decisions.
Pricing & Contract Review: Collaborate with commercial teams to review vendor contracts, pricing models, and service level agreements (SLAs) from a financial viability standpoint.
Treasury, Cash & Working Capital Management
Cash Flow Management: Monitor daily cash flows, optimize working capital cycles (AR/AP management), and prepare short- to medium-term liquidity forecasts.
Banking Operations: Assist in managing banking relationships, executing fund transfers, and ensuring compliance with credit facility covenants and loan documentations.
Taxation, Governance & Audit
Tax Compliance: Ensure timely execution, filing, and reconciliation of all direct and indirect tax returns (e.g., Corporate Tax, GST/VAT, TDS/Withholding Tax).
Audit Management: Act as the primary liaison for internal, external, and statutory audits, ensuring swift resolution of audit queries and compliance with internal financial controls (IFC).
Regulatory Filings: Manage statutory secretarial and financial compliance filings with relevant government or corporate regulatory bodies.
Key Requirements
Qualifications: Bachelor’s degree in Finance/Accounting. Professional certification (CA, CPA, ACCA, CMA, or MBA Finance) is highly preferred.
Experience: 5–7 years of progressive corporate finance experience, including a minimum of 2 years in a supervisory or team-leading capacity.
Technical Proficiency: Advanced MS Excel skills (financial modeling, macros) and hands-on experience with Tier-1 ERP systems (SAP, Oracle, or NetSuite).
Competencies: Strong analytical capabilities, sharp attention to detail, and the ability to articulate complex financial data to non-finance stakeholders.