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About Company: A leading financial technology platform, this service specializes in empowering users to efficiently manage and grow their wealth.
Responsibilities:
1. Financial Control and Compliance
Oversee the daily financial operations, ensuring all general ledger postings are spot-on
Development and implementation of standard financial controls & accounting practices
Manage accurate consolidations and reconciliations, keeping our financials in check
Ensure company aligns with regulatory reporting requirements, tackling statutory, tax, legal, and compliance matters
Coordinate timely completion and review of annual statutory accounts
2. Financial Planning and Analysis
Work closely with management for the development of annual operating plans
Cash flow planning and ensuring visibility of the same to the board
Helping the management team raise capital - Equity + Debt
Collaborate with business teams to analyze variances between forecasts and
actuals and actively engage in monthly Group cost review meetings
Responsible for producing MIS accounts ensuring compliance with all directives
Responsible for clearing due diligence exercises by existing/incoming investors
Requirements:
1. Qualified CA with 9-12 years of experience working with either a Top 4 firm or a medium-to-large startup or Medium to large NBFC
2. Previous experience working on the IND AS accounting system is preferred but not mandatory
3. Demonstrated expertise in financial controls, with a proven ability to establish and/or lead high-performance teams.
4. Experience in managing functional boards and overseeing due diligence processes with Tier 1 investors.
Industry:Other
Job Type:Permanent Job
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Date Posted: 08/11/2024
Job ID: 99621629