This role supports Deltatre's India branch finance function, covering accounting, statutory compliance, procurement, reporting, and operational finance. Reports to the India Finance Manager. The work is a generalist remit at branch level — different from the specialist finance roles in Deltatre's other hubs.
As Finance Assistant you will run the day-to-day accounting cycle (AP, AR, banking, accruals, prepayments), maintain compliance across India-specific statutory requirements (GST, TDS, ROC, transfer pricing), support procurement and vendor management, and contribute to the broader Deltatre group through coordination with other hubs and global finance teams.
Responsibilities
Financial accounting and reporting
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Perform day-to-day accounting — Accounts Payable, Accounts Receivable, banking, fixed assets, accruals, prepayments
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Process journal entries and maintain accurate financial records within NetSuite
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Support month-end and year-end closing activities
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Assist with the preparation of management reports, schedules, and financial analysis
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Support intercompany accounting and related reconciliations
Taxation and statutory compliance
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Prepare and assist with GST, TDS, Professional Tax, and other statutory filings
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Maintain compliance calendars and trackers to ensure timely submissions
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Support transfer pricing documentation and related calculations
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Coordinate with external consultants for ROC, tax, and regulatory filings
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Assist during statutory audits, tax audits, and internal audits
Procurement and finance operations
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Support procurement activities, including vendor onboarding, purchase documentation, and invoice processing
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Coordinate with vendors and internal stakeholders to ensure timely payment processing and documentation
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Maintain vendor records and support procurement-related reporting
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Support employee expense reimbursement processes and other finance operational activities
Global hub and cross-functional support
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Provide finance operational support to other Deltatre hubs and branches as required
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Collaborate with global finance teams on reporting, reconciliations, and process improvements
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Assist with cross-border transactions and intercompany coordination
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Support implementation and enhancement of finance processes within NetSuite
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Act as a key point of coordination between India operations and global stakeholders