Finance Controller
Looking for candidates from Fintech experience only apply
- Required Experience 10 - 12 Years
- Salary Range : 40 LPA - 60 LPA
- Bangalore, Karnataka, India
Skills & Expertise
- Financial benchmarking,
- Audit and tax compliance
- Regulatory Compliance
- Budgeting
Must have:
- 10+ years in driving the financial planning and assessing the financial performance of the company
- Hands on experience crafting financial strategies and managing accounting teams.
- In-depth understanding of cash flow management, bank reconciliation and bookkeeping
- Proficiency in accounting software
- Proven ability to allocate resources and manage cash flows
- Ensure all accounting activities and internal audits comply with financial regulations
Should have :
- Be able to implement process improvements for efficiency, scalability and productivity.
- Understand key business drivers and trends for functional departments and provide insights on improving efficiency
- Develop financial models and analyses to support strategic initiatives
Nice to have:
- The ability to effectively speak out and communicate with leadership, demonstrating an understanding of strategic communication that supports the broader organizational goals.
- Experience in B2B companies
- Experience in FinTech space
- Worked and scaled up in Startup space
Roles & Responsibilities
What will you do:
- Your responsibilities will include creating forecasting models, assessing risk in investments and - ensuring all accounting activities comply with regulations. You will enable strategic, executive, and Board-level, as well as tactical, decision making for the company through financial modeling, fact-based analyses, and interpretation of key business and financial trends. Ultimately, you will maintain our company's financial health and increase profitability in the long run.
- Drive and manage the financial initiatives, budgeting processes, and KPI tracking including developing action plans to ensure annual financial objectives are met
- Engage in preparation of annual operating plan, monitoring variances and undertake control measures.
- Engage in revenue forecasting and sales pipeline reconciliations
- Monitor financial performance by measuring and analyzing results
- Prepares timely and accurate analyses, summaries, and reports of financial data on the operating progress of the company
- Create a reliable cash flow projection process and reporting structure that includes minimum cash threshold to meet operational needs
- Routinely review revenue cycle metrics to proactively identify and address issues affecting overall performance
- Manages the company's compliance with local and federal regulatory matters
- Partner with senior leaders to ensure the company hits revenue targets
- Direct and manage the finance and accounting teams and develop the financial strategy for the organization
- Improve efficiency related to billing, reporting, revenue recognition, payments, receivable, etc.
You should apply if you:
- Are a qualified Chartered Accountant
- Have 10+ years of experience in a finance leadership role with an excellent understanding of business metrics
- Have In-depth knowledge of financial benchmarking, accounting, audit and tax compliance, and other regulatory matters
- Are adept in fiscal management principles and processes including resource management and needs assessment
- Can partner with senior management team to establish and track revenue goals
- Possess critical knowledge of federal and multiple state tax laws as well as basic accounting issues
- Are able to identify risks as well as opportunities to provide feedback on decisions affecting financial results of the company
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