About Plum
Plum is a fast-growing insurtech company on a mission to reimagine employee health benefits for modern workforces. Backed by leading investors, Plum is known for innovation, customer-centricity, and a high-performance culture. As we scale, we are looking to hire a strong financial controller who can bring financial discipline and leadership to our finance operations.
About the role
We are looking for a qualified and experienced Group Financial Controller to lead Plum's finance controllership function. The ideal candidate will bring a strong foundation in financial controls, tax, audits, and treasury operations—preferably from a high-growth B2B SaaS environment.
Role Responsibilities
- Controllership & Reporting
- Own the end-to-end monthly, quarterly, and annual financial close processes
- Prepare accurate financial statements in compliance with Indian GAAP and regulatory requirements
- Ensure timely reporting to management and stakeholders
- Audit & Compliance
- Lead statutory, tax, and internal audits; act as the primary point of contact for external auditors
- Ensure compliance with all applicable regulatory and tax laws (direct and indirect taxes)
- Drive process improvements and strengthen internal controls
- Taxation
- Oversee tax filings, assessments, and reconciliations
- Maintain up-to-date knowledge of changes in tax regulations and their implications on the business
- Ensure timely and accurate GST, TDS, and income tax compliances
- Treasury & Cash Flow Management
- Manage treasury operations, optimize working capital, and ensure liquidity planning
- Prepare weekly and monthly cash flow forecasts and track variances
- Liaise with banking partners and manage relationships
- Process and System Improvement
- Drive automation and efficiency in accounting and financial reporting processes
- Support implementation and improvement of ERP and accounting systems
Role Requirement
CA-qualified with 6–8 years of post-qualification experience, ideally in the B2B SaaS industry; role based in BangaloreStrong working knowledge of taxation (direct & indirect) and statutory audit processesProven experience in treasury and cash flow managementExcellent understanding of financial reporting, accounting standards, and regulatory frameworksHands-on experience with accounting ERP systems (e.g., Zoho) and Microsoft ExcelWhat We Offer
A high-impact role in a fast-scaling companyOpportunity to work closely with the leadership team and shape financial strategyCompetitive compensation and ESOPsA collaborative and growth-driven work culture