22 Aug
|
Vakrangee
|
Mumbai
Key Responsibility :
- Financial Planning, Budgeting and Control
- Support & prepare Annual Budget, rolling forecast and variance analysis with a focus on unit economics, transaction cost and ROI.
- Track Cost drivers including processing fees, platform costs, commissions, and credit related expenses (Where applicable )
- Support pricing, margin and profitability analysis across transaction based, subscription.
- End-to-End Accounting
Own the complete accounting cycle from transaction recording to preparing final accounts Ensure books of accounts are maintained accurately as per Ind AS / IFRS / GAAP
Prepare and finalise financial statements at group level. Prepare financial statement, notes to accounts, schedules and disclosures as per the requirements.
P & L Ownership and Business Partnering
- Own Company wide and product level P & L with granular visibility into transaction level economics
- Act as a finance partner to product ,growth , risk, and compliance team to elevate CAC , LTV , payback period, and profitability
- Provide financial inputs for new product launches, partnerships, and market expansion
- MIS , Financial Reporting & Close
- Own Monthly, quarterly and annual financial close with strict timelines and high accuracy
- Build Management dashboards and MIS Covering metrics such as transaction volumes , revenue yield cost per transaction , working capital and collection.
- Prepare board level and investor reporting packs with clear financial commentary, risk, and outlook.
- Prepare monthly revenue with revenue dashboard & P&L; dashboard for management review.
- Perform variance analysis, investigate deviations, and obtain explanations from departments.
Accounting, controls & Automation
- Ensure compliance, revenue recognition standards and transaction led accounting practices
- Design implements and strength internal control around transaction processing, reconciliation, and settlement
- Drive automation across accounting reconciliation and reporting using different tools
- Scrutinized of All daily entries, Review of Bank Reconciliation, wallet reconciliation.
Compliance, Audit & Governance
- Ensure compliance with the companies Act, GST , Income Tax and applicable RBI/ regulatory guidelines.
- Lead Statutory, tax, Internal and regulatory audits, always ensure audit readiness
- Partner with Compliance and risk teams to maintain regulatory documentation and reporting
Taxation & Regulatory Reporting
- Manage direct and indirect taxation including GST , TDS , Income tax provisions , assessment, and filling.
- File corporate income tax returns (10 ITR), management ITR (4 ITR), prepare GST annual returns and audit compliance reports.
- Review annual ROC returns (AOC-4, MGT-7, Board Reports), FLA & APR.
- Ensure Accurate classification of Income tax streams for tax and regulatory purposes
- Oversee regulatory filings, certificates, and periodic reporting to authorities.
Treasury Cash Flow and Strategic Support
- Monitor daily cash position, liquidity and find flows across operating and accounts.
- Support fundraising due diligence lender audit and investor information request
- Assist with financial evaluation of partnership acquisitions and regulatory driven business change
Candidate Profile
- Qualified Charted Accountant: MBA ( Finance ) or CFA is an added advantage
- 5-9 Years of experience in fintech, payments, lending, NBFCs, digital banking or regulated financial services
- Strong Understanding of transaction led accounting escrow/ nodal mechanism settlement and RBI aligned compliance
- Hands on experience with telly and other systems, reconciliation engines, tools and financial automation
- Prior exposure to Audit, fund raising or scale stage regulated business is highly preferred.
- Ability to operate in quick paced environment with high ownership and attention to details.
📌 Financial Controller (Mumbai)
🏢 Vakrangee
📍 Mumbai