Mumbai, Maharashtra, India
Not disclosed
On-site
Full Time
About Company The family office, managed by an Ultra High Net Worth (UHNI) veteran investor, oversees $2 billion in Assets Under Management (AUM) and specializes in preparing high-growth portfolio companies for IPOs. It has managed IPOs and fund raising for marquee companies like Patanjali, Idea Vodafone, and Garuda and state government.In addition to IPOs, the investor actively commits capital to private equity funds, enhancing portfolio diversity and growth potential through strategic private investments. This balanced approach allows the family office to leverage opportunities in both public and private markets.With a pipeline of over 20 IPOs in the next two years, the family office is well-positioned as a leader in the capital markets. Its expertise spans public listings and private equity, driving sustained value across its portfolio. Job Description About the Role:We are seeking a highly analytical and detail-oriented Senior Analyst with a strong background in Equity Research and/or Private Equity. The ideal candidate will be responsible for evaluating investment opportunities, building financial models, conducting deep-dive industry and company analysis, and supporting the investment decision-making process. This role demands strong financial acumen, commercial thinking, and the ability to distill insights into actionable recommendations.Key Responsibilities:Equity Research :● Conduct fundamental research and build detailed financial models, DCF valuations, and relative valuations for listed companies.● Analyze earnings, industry trends, macroeconomic data, and regulatory developments.● Prepare investment notes, stock recommendations, and sectoral outlooks.● Monitor portfolio performance and track company developments, earnings calls, and management commentary. Private Equity / Deal Evaluation :● Evaluate potential private equity investment opportunities through business due diligence, financial analysis, and market assessment.● Build and review financial models to assess investment returns, capital structure, and sensitivity scenarios.● Assist in deal structuring, term sheet preparation, and coordination with legal, tax, and transaction advisors.● Support the end-to-end investment lifecycle – from sourcing and evaluation to post-investment monitoring and exit strategy. Research & Strategy :● Perform sector and thematic research to identify high-growth, undervalued, or turnaround opportunities.● Collaborate with senior stakeholders to define investment theses and support portfolio strategies.● Maintain comprehensive deal and research documentation in line with internal compliance standards.Key Requirements:● Bachelor’s/Master’s degree in Finance, Economics, Accounting, or related field. MBA/CFA is highly preferred.● 7+ years of relevant experience in Equity Research, Private Equity, Investment Banking, or Consulting.● Strong financial modeling and valuation skills (Excel, PowerPoint, etc.).● Excellent written and verbal communication skills – ability to present investment ideas effectively.● Deep understanding of financial statements, corporate strategy, and market dynamics.Preferred Qualifications:● Experience covering specific sectors (e.g., Manufacturing, Consumer, Finance, etc.) is an advantage.● Familiarity with databases like Bloomberg, Capital IQ, Refinitiv, Ace Equity, or similar tools.● Exposure to deal execution, portfolio company engagement, or exit strategy is a plus.
Mumbai, Maharashtra, India
Not disclosed
On-site
Full Time
A dynamic and innovative company specializing in crafting impactful digital solutions, it provides a wide array of services such as creative content, strategic campaigns, and influencer collaborations. Backed by a talented team, it continues to drive meaningful engagement and deliver exceptional results across the digital landscape. Job Description Role Description This is a full-time role as a finance manager. The Finance Manager will be responsible for overseeing all financial operations of the company, including budgeting, forecasting, financial reporting, financial analysis, ensuring compliance with tax laws and regulations and developing financial strategies to maximize profitability and growth. ResponsibilitiesØ Manage all finance & accounting operations including billing, payroll, A/R, A/P, GL and counsel, cost accounting, inventory accounting, and revenue recognition.Ø Financial forecasting & projections.Ø Preparing reporting and analysing budget variances.Ø Reviewing the company's financial statements to ensure they are accurate.Ø Preparing month-end reports for management, including profit and loss statements, balance sheets, and cash flow statements, Management analysis of periodical financial statementsØ Preparing & reviewing periodical MIS statements/reports/presentations for board/ investors communications etc.Ø Recommending changes in policies or procedures that will improve financial performance.Ø Ensuring compliance with government regulations and statutory complianceØ Overseeing all financial planning and analysisØ Support month-end and year-end close processes.Ø Manage cash flow.Ø Accounts receivables/ collection.Ø Ensure quality control over financial transactions and financial reporting.Ø Manage and comply with local, state, and government reporting requirements and tax filings.Ø monitor and ensure adherence to business processes and accounting policies to maintain and strengthen internal controls.Ø Payroll processing and labour law compliancesØ Manage the preparation and publication of departmental and organization financial documents.Ø Examine financial and legal documents to verify accuracy and adherence to financial regulations and acceptable financial principles.Ø Audit –Handling Statutory and internal Audit.RequirementsQualified CA with 4-6 years of experience
Bengaluru
INR 9.0 - 10.0 Lacs P.A.
Work from Office
Full Time
1. Assist with financial reporting, budgeting, and forecasting. 2. Support AP/AR, audits, and tax filings (TDS, GST). 3. Automate finance processes and perform ad hoc analysis to enhance financial efficiency and compliance. Required Candidate profile 1. Semi CA/ M.com/ MBA 2. Proficiency in Microsoft Excel and financial software (tally/ Zohobook/ others). 3. Attention to detail and accuracy. 4. Knowledge of financial accounting principles.
Mumbai, Maharashtra, India
Not disclosed
On-site
Full Time
About Company A dynamic and innovative company specializing in crafting impactful digital solutions, it provides a wide array of services such as creative content, strategic campaigns, and influencer collaborations. Backed by a talented team, it continues to drive meaningful engagement and deliver exceptional results across the digital landscape. Job Description Key Responsibilities:· Handle corporate secretarial matters and related compliances.· Lead the legal aspects of Fund raise / IPO, coordinating with regulatory bodies (NSDL, DA, NSE, SEBI etc.), and managing due diligence processes.· Oversee and ensure timely compliance with statutory and regulatory requirements applicable to Visit.· Maintain Statutory records· Board and Shareholder Meetings:· Convene and organize Board Meetings, Committee Meetings, and General· Meetings (AGM/EGM) as per the Companies Act, 2013.· Draft minutes of meetings, prepare Board and committee resolutions, and maintain statutory records.· Liaise with directors and shareholders to ensure effective communication and decision-making. Preparing resolutions, POAs, Affidavits· ROC Compliances, fill all mandatory statutory forms with ROC.MCA and other regulatory bodies
Kolkata, Bengaluru
INR 15.0 - 20.0 Lacs P.A.
Work from Office
Full Time
Conduct risk assessments, ensure compliance with RBI/NBFC regulations, oversee AML processes, review policies, track regulatory updates, analyze financial risks, report suspicious activities, and lead AML training using digital tools and techniques.
Pune
INR 65.0 - 75.0 Lacs P.A.
Work from Office
Full Time
Develop and execute a risk-based internal audit plan, enhance controls, drive automation in controllership, manage stakeholders, and align audit priorities with business goals through strong operational and strategic understanding. Required Candidate profile Chartered Accountant with 10–15 years of internal audit experience in the Process or Chemical industry or with a Big 6 audit firms.
Pune, Mumbai (All Areas)
INR 60.0 - 80.0 Lacs P.A.
Work from Office
Full Time
Roles & Responsibilities : Global Treasury Management : Develop and execute global treasury strategy and policies Manage global cash and liquidity positions across all entities Oversee working capital management and optimization Implement cash pooling and netting structures Lead banking relationships and negotiate facilities Manage FX risk and hedging strategies Oversee debt portfolio and capital structure optimization Drive treasury technology integration post-acquisition Lead cost reduction in treasury operation with the aim to minimize funding cost Post Acquisition Integration : Integrate treasury operations of acquired foreign entity Standardize treasury processes across global entities Implement global cash management structures Optimize banking relationships across regions Develop unified reporting systems Team Leadership & Governance : Build and lead global treasury and IR teams Establish treasury controls and governance framework Develop treasury policies and procedures Ensure regulatory compliance across jurisdictions. Ideal Candidate : CA/CFA/ with treasury certifications. Period of Experience Required: Min. 18+ years of experience in treasury roles. Additional Requirement: Global exposure, Business partnering mind-set is preferred. Ability to manage complex global treasury structures Experience in managing rating agency relationships Understanding of chemical/manufacturing industry dynamics Experience in managing international treasury operations Strong understanding of global financial markets Knowledge of treasury technologies and systems.
Bengaluru
INR 20.0 - 30.0 Lacs P.A.
Work from Office
Full Time
CA with 6–8 yrs in FP&A and business partnering. Own P&L, budgeting, forecasting, variance analysis, team leadership, and process improvement. Strong in analytics, communication, cross-functional collaboration, and managing multiple priorities.
Pune
INR 50.0 - 65.0 Lacs P.A.
Work from Office
Full Time
Job Description Key Responsibilities Oversee the full spectrum of FP&A activities including budgeting , forecasting , long-term planning , and financial modeling . Lead inventory analytics and ensure precision in BOM (Bill of material) valuation , aligning reports with overall business direction. Design and implement automated MIS dashboards to streamline financial reporting for stakeholders. Create interactive Power BI visualizations for real-time monitoring of financial and operational KPIs. Collaborate with various departments to gather, consolidate, and analyze financial data effectively. Ensure timely execution of month-end and year-end closures along with variance analysis and management reports . Serve as a financial advisor to internal business units, offering insights for process enhancement and operational efficiency. Partner with senior leadership to support and influence strategic decisions across departments. Leverage SAP HANA and other ERP systems for data extraction and financial insights. Participate in international assignments, finance system implementations, or stakeholder engagements as needed. Key Requirements CA with 1215 years of hands-on experience in financial planning , analysis , and core finance roles. Proficiency in managing inventory systems and handling BOM reporting . Demonstrated success in automating finance reports and building dashboards via Power BI . Must be adept with SAP HANA ; experience in Power BI is highly desirable. Strong communication and stakeholder management capabilities, especially across functional and geographical lines. Ability to deliver under pressure while juggling multiple high-priority initiatives. Open to international travel based on business priorities. Preferred Industry Exposure Candidates from mid to large-scale organizations in sectors like manufacturing , pharma , FMCG , or consumer goods will be preferred.
Pune
INR 25.0 - 35.0 Lacs P.A.
Work from Office
Full Time
CA with 6–8 yrs experience in financial closures, audits, P&L, and compliance (Ind AS & IFRS). Manage Swiss entity, subsidiaries, intercompany, and ERP systems. Strong in analytics, communication, and process improvement. MNC experience preferred.
Bengaluru
INR 35.0 - 50.0 Lacs P.A.
Work from Office
Full Time
CA with 10–12 yrs in Business Finance, ideally from Mobile/Retail. Expertise in budgeting, FP&A, audits, SOPs, P&L, partner management, SAP & Excel. Strong in leadership, negotiation, communication, multitasking, & delivering results under pressure.
Bengaluru
INR 18.0 - 30.0 Lacs P.A.
Work from Office
Full Time
Ensure DT & TP compliance for Indian and overseas entities including advance tax, WHT, tax audits, TP audits, and returns. Provide tax advisory to business units, manage audits and disputes, file appeals, & coordinate with tax authorities as needed. Required Candidate profile A qualified CA having 0 - 9 years of experience into direct taxation
Bengaluru
INR 20.0 - 25.0 Lacs P.A.
Work from Office
Full Time
Holding experience to manage global tax compliance, filings, and strategy. Must have strong knowledge of TDS & multi-geo tax impacts. CA/CPA preferred. Join a high-performing finance team and make an impact globally.
Roorkee, Uttarakhand, India
Not disclosed
On-site
Full Time
About Company The company is a well-funded, impact-driven startup in the Agritech space , backed by prominent climate-focused investors. They're building a scalable solution at the intersection of biotechnology, sustainability, and circular economy . Job Description: Monitor and control operational and project costs effectively Coordinate internal and statutory audits; ensure timely compliance and reporting Work with banks and financial institutions to raise and manage debt requirements Identify, evaluate, and apply for relevant government and private sector schemes, subsidies, and incentives Negotiate vendor contracts and commercial terms to align with financial goals Monitor and optimize cash flows, working capital, and financial health metrics Assist in budgeting, forecasting, and managing the company’s P&L Prepare accurate monthly, quarterly, and annual financial statements Provide financial insights and timely MIS for internal and investor reporting Optimize unit economics and profitability across product lines and customer segments Partner with cross-functional teams to track KPIs and support strategic decision-making What We’re Looking For: Qualified Chartered Accountant (CA) with 5–7 years of relevant experience Prior experience in the manufacturing sector is preferred Hands-on experience in managing debt, financial modeling, and government liaisoning Strong understanding of accounting standards, compliance, and cash flow management Proficiency in MS Excel and financial tools Excellent communication, leadership, and stakeholder management skills Show more Show less
Pune
INR 22.5 - 25.0 Lacs P.A.
Work from Office
Full Time
1. Hiring a Business Finance Manager to Lead FP&A, drive strategic financial decisions, build budgets, forecasts & models, and deliver insights across units. 2. 2-3 yrs exp, CA/CIMA/MBA preferred. 3. SaaS/startup background a plus!
Bengaluru
INR 15.0 - 18.0 Lacs P.A.
Work from Office
Full Time
We're hiring a Finance Manager to lead daily finance ops, manage accounting, compliance, taxation, budgeting, fund flow, and reporting, preferably from startups. Strong coordination & cash flow management skills needed. Required Candidate profile At least 2 years of experience in a fast-paced startup Should have good communication skills, strong accounting & reporting knowledge and tax laws
Bengaluru
INR 40.0 - 50.0 Lacs P.A.
Work from Office
Full Time
Looking for someone who can lead planning, treasury, investor relations, fundraising, & compliance. Drive growth via cost control, insights, & strong governance. Startup experience is a plus. Legal, ERP, and cross-functional skills preferred.
Bengaluru, Karnataka, India
Not disclosed
On-site
Full Time
About Company: A women-focused platform empowering personal and professional growth through curated opportunities, expert-led programs, and community support. Key Responsibilities: Lead financial planning, budgeting, accounting, and treasury functions with a strong focus on governance, compliance, and cost optimization. Drive financial insights to support strategic decision-making, operational improvements, and long-term value creation. Manage investor communications and support fundraising efforts, including equity raises and due diligence processes. Ensure robust financial controls and productivity improvements across the organization. Oversee legal, secretarial, and regulatory matters, including liaison with ROC, SEBI, stock exchanges, and other government authorities. Provide cross-functional support by working closely with various teams, especially in high-pressure and fast-paced environments. Develop business unit plans, financial policies, and standard operating procedures to align with overall business goals. Leverage ERP systems and financial tools to streamline reporting and decision-making. Prior experience in startups or greenfield projects will be an added advantage. Strong grounding in corporate law and the ability to review, draft, and resolve legal matters effectively. Show more Show less
Mumbai, Maharashtra, India
Not disclosed
On-site
Full Time
Job Description Position Overview: We are seeking an experienced and proactive Legal & Compliance Manager to lead legal and regulatory initiatives across NBFC and fintech operations. The role requires strong expertise in contract management, regulatory liaison, investor grievance handling, litigation support, and compliance with SEBI, RBI, and other financial regulations. Key Responsibilities: Draft, review, and negotiate legal documents including loan agreements, co-lending agreements, NDAs, service provider/ vendor contracts, joint venture agreements, disclaimers, privacy policies, and terms & conditions. Ensure ongoing compliance with SEBI, RBI, and other relevant legal frameworks. Represent the company in legal proceedings, regulatory inspections, and arbitration/litigation matters as required. Address investor complaints and coordinate with regulatory bodies for timely and accurate responses. Oversee regulatory filings and legal documentation for NBFC-related activities and licensing. Manage intellectual property filings, including trademark applications and oppositions. Track legal risks and analyse the impact of regulatory changes on business operations. Support internal audit, inspection readiness, and legal process improvements. Candidate Profile: Bachelor’s degree in Law (LLB); Master’s degree (LLM) and/or CS (Executive) preferred. 7-10 years of relevant experience in NBFC, fintech. Solid understanding of financial regulations, corporate law, and securities law. Hands-on experience in handling regulatory interfaces with SEBI, RBI, stock exchanges, and tribunals. Strong legal drafting, negotiation, and analytical skills. Proficiency in legal documentation, compliance tracking, and Microsoft Office tools. Show more Show less
Bengaluru, Karnataka, India
Not disclosed
On-site
Full Time
About the Company: It is the fastest-growing B2B SaaS startup, backed by renowned investors. Roles and Responsibilities: 1. Strategic Finance & Modelling • Own the company’s financial model, including projections for license and services revenue • Create and publish monthly/quarterly MIS reports for 8+ investors • Work closely with founders and leadership on valuation narratives and next round strategy 2. Product Pricing & Margins • Deeply understand our platform pricing (GB/day, per node, # agents) • Define and track gross margins, discounts, and net retention • Recommend pricing changes based on usage and cost benchmarks 3. Services Costing & Profitability • Model direct/indirect costs across implementation, SRE, and expert services teams • Analyze profitability of services engagements • Help design services that support license expansion efficiently 4. Company-Wide Cost Management • Own cost planning across functions—engineering, sales, customer solutions • Forecast burn, optimize cash flow, track hiring vs. revenue yield • Drive cross-functional efficiency initiatives 5. Finance Ops & Compliance • Supervise bookkeeping, audits, payroll, taxes (with in-house or outsourced team) • Ensure compliance with MCA, income tax, GST, etc. 6. Investor Relations & Fundraising • Partner with CEO/founders on investor updates, board decks, and data rooms • Participate in fundraising conversations and valuation discussions. • Align capital plans with growth strategy What you bring: • 10-12 years in finance roles, ideally in a SaaS/tech environment • Strong financial modelling, analysis, and valuation skills • Experience working with founders, VCs, and external stakeholders • Knowledge of unit economics, SaaS metrics (NRR, CAC payback, GM%), and cost structuring • Comfortable in both strategic discussions and operational tasks • Sharp, accountable, and curious about building new-age tech companies Preferred Experience • Experience at a startup . • Worked in infrastructure/SaaS/devtools/observability companies • Familiarity with India’s banking or financial ecosystem Show more Show less
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