Simran Boparai Archtelier is a luxury architecture and interior design studio creating high-end villas, mansions, estates, and modern-day palaces across India and internationally. Known for our signature Neo-Classical and heritage-inspired designs , we craft generational homes with grand proportions, refined detailing, and emotional architecture.
With projects across India, the UAE, Canada, the USA, and the UK , SBA has been featured in leading publications such as Architecture + Design Magazine, GQ, Travel + Living, and Vistara , and honoured with TAD 50 by ArchDiary .
We are growing our team with individuals who bring passion for luxury design, precision, and excellence.
About the Role
Simran Boparai Archtelier is seeking a highly responsible and detail-oriented Finance Manager to take full ownership of the company’s financial planning, budgeting, cash flow, and compliance. This is a senior role designed for someone who is extremely organized, disciplined, and capable of managing the financial rhythm of a fast-growing luxury architecture and interior design studio.
You will work closely with the founders to streamline budgets, ensure healthy cash flow, manage EMIs and financial commitments, oversee vendor payments, and maintain complete financial discipline in the organisation.
Key Responsibilities
- Budget Planning & Monitoring
- Build, track, and optimise project-wise and company-wide budgets.
- Provide monthly, quarterly, and annual financial projections.
- Cash Flow & Fund Management
- Manage inflow and outflow of funds, ensuring liquidity at all times.
- Maintain dashboards for receivables, payables, and projected commitments.
- Payments & EMIs
- Manage and schedule monthly EMIs, vendor payments, staff-related payouts, and operational expenses.
- Ensure zero delays and maintain clean financial records.
- Financial Compliance
- Coordinate with CA, accountants, and legal advisors for GST, TDS, income tax, and statutory filings.
- Maintain documentation for audits, banking requirements, and project-level compliance.
- Banking & Financial Coordination
- Liaise with banks for inward / outward remittances, credit facilities, and loan-related matters.
- Maintain accurate reconciliation of all statements.
- Internal Financial Controls
- Implement systems to minimise leakage, unnecessary expenses, and financial risks.
- Oversee approvals, validations, and accountability for all monetary transactions.
- Reporting & Insights
- Provide weekly and monthly financial reports to management.
- Highlight cost inefficiencies, forecast risks, and recommend corrective strategies.
Qualifications & Requirements
Bachelor’s degree in Finance, Accounting, Commerce, or Business Administration .Preferred : MBA / PGDM in Finance or CA Inter / Semi-qualified CA (not mandatory).5–12 years of experience in finance, accounts, or financial planning roles.Strong understanding of GST, TDS, banking processes, budgeting, and cash flow management .Advanced skills in Excel, financial modelling, and tracking systems.Extremely organised, disciplined, and trustworthy with sensitive financial data.Ability to work in a fast-paced environment with multiple projects and financial streams.Local candidate preferred (Chandigarh / Tricity).Who Should Apply
Someone who :
Is mature, reliable, and takes full ownership of company finances.Can bring structure, foresight, and financial discipline to a creative high-growth environment.Can independently manage accounts, payments, reconciliations, and cash flow without supervision.Understands the importance of clean compliance and timely financial planning.