We're looking for a highly capable senior individual contributor who can independently handle all aspects of accounting, compliance, reporting, and financial planning. You’ll ensure our books are precise, compliance is timely, and our financial insights support leadership decisions.
This role is ideal for someone who’s meticulous, proactive, and thrives in a fast-paced founder-led setup — someone who prefers to own the work rather than just oversee it.
Key Responsibilities
- Accounting & Bookkeeping : Maintain and reconcile accounts daily, ensuring accuracy across ledgers, banks, and intercompany transactions.
- Financial Reporting : Prepare and present monthly P&L, Balance Sheet, and Cash Flow statements with actionable insights.
- Cash Flow Management : Track inflows / outflows, plan payments, and ensure liquidity for operations.
- Tax Compliance : Handle GST, TDS, income tax, and employee tax filings; coordinate with CA partners as needed.
- Audit & Compliance : Support statutory audits and ensure all filings, returns, and documentation are up to date.
- Investment Management : Maintain records and track returns on company investments and savings.
- Strategic Financial Support : Assist leadership in budgeting, cost optimization, and long-term financial planning.
What You Bring
5–10 years of experience in finance, accounting, or audit, preferably in startups or multi-entity environments.In-depth understanding of Indian accounting standards, tax laws, and compliance frameworks.Hands-on expertise in tools like Tally / Zoho Books / QuickBooks / Excel.Strong analytical mindset, attention to detail, and high ownership.CA / Inter CA / MBA Finance preferred but not mandatory.