- Manage day-to-day accounting operations including reconciliations, revenue identification, and financial transactions
- Assist in preparing, managing, and closing Balance Sheet and P&L; oversee procurement, accounts payable/receivable, payroll, and tax compliance
- Ensure 100% compliance with tax and regulatory requirements, including GST and Income Tax, and support audits and tax filings
- Support MIS reporting for management and investors with accurate and timely financial data
Role Responsibilities
- Coordinate with finance team, stakeholders, external advisors, and bankers to maintain smooth financial operations
- Monitor cash flow, budgeting, and forecasting aligned with company growth and strategic goals
- Drive revenue assurance by identifying key revenue points and ensuring accuracy
- Stay updated on evolving fintech and Web3 financial practices, proactively contributing to process improvements
Skills: Cash Flow Management, Income Tax, Us Gaap, Revenue Assurance, Ifrs