CA - Finance Controller

5 years

0 Lacs

Posted:1 month ago| Platform: Linkedin logo

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Work Mode

On-site

Job Type

Full Time

Job Description

About Company:



1. Accounting & Compliance

• Oversee day-to-day accounting operations and ensure accuracy in financial reporting.

• Manage monthly, quarterly, and annual closings with adherence to timelines.

• Ensure full compliance with statutory, audit, and regulatory requirements.

• Liaise with external auditors, consultants, and advisors for seamless audits and reviews.

2. Financial Planning & Fund Management

• Develop, manage, and monitor budgets, forecasts, and financial models.

• Oversee fund flow, working capital, and cash flow planning to support operational needs.

• Partner with leadership on strategic financial decisions and investor communications.

• Collaborate with banks, NBFCs, and government agencies for infrastructure and data center project financing.

• Drive debt financing initiatives, including securing funds from government and institutional programs.

3. Taxation & Regulatory

• Manage direct and indirect taxation, including planning, compliance, and optimization.

• Coordinate with tax consultants for efficient structuring and risk mitigation.

• Ensure timely filing of all statutory returns and adherence to evolving tax laws.

4. Forex & Market Fluctuations

• Assess and manage currency risks for international transactions and overseas procurements.

• Monitor macroeconomic trends and implement hedging or risk mitigation strategies as appropriate.

5. Strategic Finance & Business Support

• Deliver actionable business insights through MIS reports, dashboards, and analytics.

• Partner with business and operations teams to drive cost efficiencies and financial discipline.

• Contribute to business scalability initiatives and implement robust financial controls.

• Support project-level financial structuring and capital planning for large-scale infrastructure or data center projects.


Requirements:

• Qualified Chartered Accountant (CA) with 3–5 years of post-qualification experience.

• Experience in data center, infrastructure, technology, or AI-focused companies preferred.

• Strong understanding of accounting standards, fund management, and compliance frameworks.

• Proven experience in infrastructure financing, data center project funding, and debt financing from government or institutional sources.

• Knowledge of forex management and exposure to cross-border procurement.

• Demonstrated expertise in financial planning, budgeting, reporting, and tax management.

• Excellent analytical, communication, and stakeholder management skills.

• Ability to thrive in a high-growth, entrepreneurial environment.

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