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Role Overview
We are looking for a highly driven and detail-oriented Accounts & Finance professional with
5+ years of experience in bookkeeping, financial reporting, and business finance. The role
requires strong ownership of accounting processes along with analytical capabilities to support
profitability analysis, forecasting, and financial decision-making in a dynamic start-up
environment.
Key Responsibilities
1. Financial Reporting & MIS
● Prepare and present monthly MIS reports with key financial indicators (revenue, costs,
margins, variance analysis).
● Analyze financial performance and provide actionable insights to management.
● Track budget vs actuals and highlight deviations.
2. Forecasting & Business Analysis
● Prepare revenue and cost forecasts based on ongoing and upcoming projects.
● Conduct project profitability and business segment profitability analysis.
● Support management in financial planning and decision-making.
3. Accounting & Bookkeeping
● Manage end-to-end bookkeeping activities including journal entries, ledgers, and
reconciliations.
● Ensure strong control over Accounts Receivable (AR) and Accounts Payable (AP)
processes.
● Perform periodic reconciliations (bank, vendor, customer) and resolve discrepancies.
4. Billing & Working Capital Management
● Oversee client billing cycles and ensure accuracy in invoicing.
● Monitor receivables and drive timely collections.
● Manage vendor payments and optimize working capital.
5. Compliance & Taxation
● Ensure timely and accurate GST and TDS compliances including returns and
reconciliations.
● Maintain proper documentation for statutory requirements.
6. Process Improvement & Cost Control
● Identify gaps in existing financial processes and implement efficient business controls.
● Drive initiatives for cost optimization and revenue leakage prevention.
● Strengthen internal controls and standard operating procedures (SOPs).
7. Audit & Stakeholder Management
● Assist in statutory audits and tax audits, ensuring timely closure.
● Liaise with internal teams (sales, operations) and external stakeholders (auditors,
consultants, vendors).
● Provide financial data and insights as required by management.
Required Qualifications
● Bachelor's degree in Commerce / Finance (B.Com); CA Inter / CMA Inter preferred.
● 3–4 years of relevant Agency experience in accounting, MIS, and financial reporting.
● Strong knowledge of Indian taxation (GST & TDS).
● Proficiency in MS Excel (advanced level preferred).
● Experience with accounting tools like Tally / Zoho Books (preferred)
Key Skills & Competencies
● Strong analytical and problem-solving skills.
● High attention to detail and ownership mindset.
● Ability to work in a fast-paced, evolving start-up environment.
● Good communication and stakeholder management skills.
● Process-driven with a focus on efficiency and control.
Job ID: 152332805
Skills:
Microsoft Excel, Netsuite, Oracle, SAP, Income Tax, ERP systems, Ind As, Accounting Software, Gst, Microsoft Dynamics
Skills:
, Internal Control, Analytics, Audit Innovation, Risk Management, Tax Management, general finance, Business Acumen, Financial Security Law, Treasury, Financial Communication, Finance Transformation
Skills:
product customization , Revenue Generation, sales service delivery, Trade Finance, Cash Management, credit and risk oversight, business development
Skills:
Business Partnering, Financial Analysis, Accounting, audit management, Financial Reporting
Skills:
Microsoft Excel, Internal Controls, Ind As, audit management, Financial reporting tools, Statutory compliance, Financial reporting, Process improvement, Inventory Valuation, IFRS, Costing, General Ledger Accounting