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Designation Finance and Strategy
Location - Bangalore, Hybrid
Experience 2-5 years
Education: CA Qualified
About Us
We are an early-stage deep tech company building NoOps for cloud storage for AWS/GCP/Azure. Our vision is to automate & make cloud storage smarter. Lucidity solution eliminates infrastructure downtime, improves application performance & saves 40% cloud cost at a click of a button. What we have built is patentable. We have Fortune 500, decacorn startups as our customers.
We are a team from BITS Pilani, IIM Bangalore, NIT Allahabad & have worked at Microsoft, Swiggy and Tracxn before. We are funded by Tier I global VC & have leading marquee angels as our investors. We are growing aggressively & plan to expand our team in the next 6 months. We are passionate about creating something unique, innovative, and big from India for global customers.
Position overview:
In our dynamic startup environment, you'll be instrumental in playing a pivotal role in managing financial operations across multiple jurisdictions, ensuring compliance, efficiency, and strategic financial decision-making. You will collaborate closely with cross-functional teams to drive various tasks to support our growth trajectory. Your role will encompass a diverse array of responsibilities many dynamic and exciting tasks including but limited to below activities:
1. MIS Preparation and Budget Variance Analysis:
- Maintain Management Information System (MIS) reports to facilitate informed decision-making. Make improvements as per the requirements.
- Conduct thorough budget variance analysis to identify areas of improvement and optimize financial
performance.
2. Accounts Payable and Receivables Management:
- Oversee accounts payable functions, ensuring accurate and timely processing of vendor invoices and payments.
- Manage accounts receivable processes, including customer invoicing, collections, and reconciliation.
3. Compliance Tracker Management:
- Maintain a comprehensive compliance tracker to ensure adherence to regulatory requirements across jurisdictions.
- Coordinate with legal and regulatory teams to address compliance issues proactively.
4. Legal Contract SOP Management:
- Develop and implement Standard Operating Procedures (SOPs) for legal contract management as per the requirements of the company.
- Ensure contracts are reviewed, negotiated, and executed in accordance with company policies and legal standards.
5. Treasury Management:
- Optimize cash flow management by monitoring liquidity and forecasting cash needs.
- Execute treasury operations, including investments, and banking relationships.
Qualifications:
Benefits:
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Date Posted: 20/06/2024
Job ID: 82391969