Designation – Finance Manager
Reporting To: Finance Head
Key Internal Relationships: Finance, SCM, Sales, Legal, MD Office, Subsidiary leads
Key External Relationships: Principals, Banks, Auditors, Customs House Agents, Tax Authorities, External Advisors
Role Summary
Owns end-to-end finance, accounting, treasury and compliance for the group, including customs & logistic clearances oversight, inter-company transactions, fund management & allocation, and providing strategic financial advice to Finance Head, the Managing Director and Directors for growthand investment decisions.
Core Responsibilities
1. Accounting, Reporting & Controls
● Ensure timely, accurate monthly, quarterly and annual financial statements and management
MIS.
● Implement and maintain robust accounting policies, internal controls, and month-end /
year-end close discipline.
● Lead statutory, tax and management audits and ensure audit observations are closed on time.
● Oversee ERP / Tally (or other finance system) governance and ensure master data, ledgers
and reconciliations are accurate.
2. Import / Export Finance & Customs Clearance Oversight
● Own finance aspects of import/export: valuation, duty accounting, IGST treatment, duty
drawback, and inventory accounting.
● Coordinate with SCM, CHA and Import/Export team to ensure documentary compliance and correct accounting treatment for Bills of Entry, B/L, AWB and freight costing.
● Implement controls for import cost allocation, landed cost calculations and customs duty
reconciliation with books. (Aligned with responsibilities defined for import & logistics teams).
3. Taxation, Compliance & Governance
● Ensure timely GST, TDS, corporate tax compliances and lead interactions with tax advisors.
● Maintain statutory compliance for payroll, benefits and statutory filings.
● Drive SOX-style process improvements (as relevant) and strengthen governance.
4. Team Leadership & Capability Building
● Lead the finance function — AR, AP, Cost Accounting, Tax, Treasury, Import Finance and
Payroll.
● Build and mentor a high-performing team, define clear KPIs, succession planning and
training programs.
● Establish SLAs with internal stakeholders (SCM, Sales, Service) and ensure financial
discipline across teams.
5. External Stakeholders & Bank / Investor Relations
● Manage banking relationships, credit lines, guarantees, and investor/partner queries.
Qualifications & Experience
● Qualified MBA (Finance), CA / CFA / CMA or equivalent with strong technical accounting &
tax grounding.
● 02–03+ years of progressive finance experience including P&L ownership, treasury, tax, and cross-border transaction exposure.
● Hands-on experience with import/export accounting, customs duty treatment, GST & related
compliances. (Your team’s import/export processes are reflected in the Finance team file and should work under this role).
● Strong exposure to intercompany accounting, transfer pricing, and related party transaction governance.
● Proven experience in fund raising, treasury management and investor / bank interactions.
● Excellent stakeholder management skills and commercial acumen.
Pay: ₹50,000.00 - ₹70,000.00 per month
Work Location: In person