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4 - 6 years

10 - 12 Lacs

Chennai

Work from Office

About Us: Founded in 2021, Zocket leverages GenAI to enable businesses to effortlessly create and launch ads in seconds. With Zocket, businesses can manage ads across channels like Facebook, Instagram, Google and WhatsApp in a single platform. Zocket's proprietary world-class tech stack is built with cutting edge Machine learning and Artificial intelligence capabilities. Zocket is founded by IIM Grad second time entrepreneurs and has raised $5.5 million to date from marquee investors including Kalaari capital.Zocket's mission is to transform how businesses leverage digital marketing to acquire new customers and grow their business. Zocket's primary markets are USA, Canada and India. Zocket is proud to be building for the Globe from India.About the Role:As our Senior Finance Manager, youll own and streamline Zockets financial operations end-to-end. From strategic planning to compliance, from cash management to audit readiness, you will be the backbone of financial clarity, enabling leadership to take sharper, faster, and more confident decisions. Youll be expected to wear many hatsstrategist, operator, team mentor, and problem-solver—with a deep understanding of SaaS finance and a bias for execution. Strategic Finance & Business Partnering Drive short-term and long-term financial planning, scenario modeling, and decision-making frameworks. Partner with Founders and leadership to align financial strategies with Zocket’s growth roadmap. Build dashboards and reporting frameworks that translate numbers into actionable business insights. Accounting, Audit & Compliance at Scale Oversee monthly, quarterly, and year-end closings with strong internal controls. Lead statutory, internal, and investor audits; ensure financial accuracy and transparency. Ensure compliance with local laws and SaaS-specific frameworks (SOC 2, GDPR, ISO 27001). Cash Flow, Forecasting & Tax Optimization Monitor cash flows to balance operating runway with future growth bets. Design robust financial models for runway, unit economics, pricing strategies, and burn analysis. Develop and execute efficient tax structures and compliance across geographies. Operational Excellence & Tools Own implementation and optimization of financial systems: QuickBooks, Tally, Chargebee, Stripe, ERP tools, etc. Drive automation to reduce manual effort and improve process reliability across finance ops. Risk Management & Controls Set up risk frameworks for financial governance, controls, and spend management. Establish policies and SOPs that allow scale without compromising agility. Team Leadership & Cross-Functional Alignment Mentor and scale a lean but mighty finance team. Foster a culture of accountability, speed, and innovation within the function. Experience: 8+ years , ideally SaaS or product-first companies. Proven experience managing end-to-end finance in scale-up environments. Prior stint at a Big 4 firm (1–2 years) is a strong plus. Metrics Tracking for Financials Education: Chartered Accountant (CA) is mandatory. MBA in Finance or CFA is a plus. Technical Expertise: Deep understanding of SaaS revenue recognition, ARR, CAC, LTV, NRR, cohort analysis. Proficient in QuickBooks, Tally, Excel, Chargebee, Stripe, Salesforce, Zoho Books ERP implementation experience is a strong advantage. US Book (GAAP) expertise & Indian Accounting

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1 - 2 years

2 - 3 Lacs

Gurugram

Work from Office

We are looking for a finance executive who will be responsible for handling the financial and accounting functions of the organization. This includes managing bookkeeping, monitoring budgets, assisting with compliance, and supporting audits. The role requires accuracy, analytical thinking, and a strong understanding of financial principles. Role & responsibilities Track office and branch expenses and process expenses on a timely manner. Keep track of all payments and expenditures, including payroll, purchase orders, invoices, statements, etc. Complete payments and control expenses by receiving, processing, verifying, and reconciling invoices. Post expense/payment vouchers Prepare disbursthe ement/payment file. Daily CMS/NEFT/RTGS payments Vendor GL reconciliations Bank Reconciliation-Main & Other A/c (Monthly) Maintain vendor Agreement master file Prepare monthly recurring expense tracker Prepare monthly provision for expense. Reconcile accounts payable transactions, prepare analysis of accounts. Ensure Control Mechanism such as matching of invoices to Purchase orders. Ensure payment as per the defined Delegation of Authority (DOA). Match invoices with GST returns & related compliance. Prepare AP related MIS, month end schedules and provisions. Handle department related queries from time to time. Managing of GST, RCM and TDS related compliance. Audit Coordination. Timely deposition of TDS & GST. Fixed asset capitalization and accounting. Managing related internal controls. What are we looking? Knowledge of accounts payable, sound knowledge of general accounting procedures Proficient in excel and MS office tools. Experience with Tally/Zoho books/Odoo, Minimum 1 year of experience in an accounts payable or finance role. In case you wish to apply, send your CV at surabhi.kumar@cityfurnish.com or call/whatsapp on 8826260848.

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10 - 15 years

19 - 30 Lacs

Chennai

Work from Office

CA with Min of 10 years of experience in finance, with at least 5 years in a senior financial leadership role Financial Strategy & Planning Budgeting & Forecasting Financial Reporting Risk Management Cash Flow Management Apply hr1amrutha@gmail.com

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5 - 8 years

18 - 27 Lacs

Mumbai

Work from Office

Role & responsibilities Compliance and Statutory Reporting Lead statutory audits (internal, external, cost) and ensure adherence to audit timelines and standards. Oversee compliance with direct and indirect taxation (GST, ITC) and regulatory requirements Ensure accuracy and timely financial reporting Financial Control and Risk Management Monitor and address observations from previous audits, ensuring all recommended actions are implemented effectively. Ensure full compliance with internal audit requirements, adhering to established timelines and standards. Orchestrate regular reviews and follow up on Delegation of Authority (DOA) and Risk Control Matrix (RCM) updates to maintain robust internal controls. Identify and mitigate risks in financial processes, strengthening governance and operational efficiency. System Automation and Process Improvement Drive financial system automation initiatives to improve accuracy, efficiency and scalability of financial operations. Lead process improvement projects to align with the companys growth trajectory and evolving business needs. Stakeholder Collaboration and Communication Communicate with internal, facilitating smooth coordination across finance, operations, and business functions. Engage with external auditors, consultants and due diligence agencies to ensure seamless financial processes and compliance. 2018/2019 CA candidate with 4-5 years of experience in Accounts & Provisioning • Work experience preferably in FMCG / Pharma industry • Efficient handling of Microsoft excel • SAP and Power Query knowledge is added advantage • Looking for a data analyst expertise for Data mining, data analysis

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6 - 10 years

30 - 45 Lacs

Bengaluru

Work from Office

At Anakin, were seeking an exceptional and accomplished finance professional to join us in our Finance team. In this pivotal role, you will have the opportunity to work with the CEO and Senior Management to shape and establish our financial planning, and operations, ensuring the company's long-term financial health and success, while also doing all the day-to-day financial operational tasks. As the Finance Manager, you will be responsible for developing and implementing strategic financial plans, optimizing operational efficiencies, and driving the growth of the organization. What you will do: Plan and control books of Accounts of the company and ensure they are accurate and compliant with statutory requirements in the USA, Singapore, and India Oversee the operations in Account Receivable/Accounts Payable, Payroll, Tax-related matters, statutory compliance, etc Provide clear visibility (dashboards, MIS) of yearly, quarterly, and monthly financials standing to various stakeholders like CEOs, Boards, and external agencies Forecast cash flow positions, related borrowing needs, and available funds for expense and investment Support preparation of the company's annual, quarterly, and monthly budgets at organizational and functional levels. Report to management on variances from the established budget, and the reasons for those variances Manage external stakeholders, partners, and agencies e.g. Payroll partners, Banks, Legal advisors, Statutory offices of the Governments, etc What you must have: Qualified Chartered Accountant (CA) with 6-10 years of experience in similar roles with small-medium sized companies or Technology Start-ups with global reach Expertise in Indian GAAP and working knowledge of global finance practices of the US or Singapore or any other country, region, or geography Strong ability to deal with ambiguity and problem-solve for aspects that you or the team may encounter the first time or are not familiar with.

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3 - 8 years

15 - 17 Lacs

Gurugram

Work from Office

Join us as a Core Treasury Associate We re looking for a Core Treasury Associate to support the delivery and integrity of monthly statutory and regulatory information Your daily responsibilities will include month-end ledger close and the reconciliation of various BS and profit and loss items This is your opportunity to take on a new career challenge in a truly inclusive workplace where all our colleagues can thrive, progress, and feel valued Were offering this role at associate level What you ll do Day-to-day, you ll ensure the integrity of the ledger by performing required controls designed to mitigate risks. We ll also expect you to provide proper documentation of hedge accounting relationships as per International Financial Reporting Standards. Additionally, you ll manage one or more business models, delivering a view of interest rate exposure, for both internal and external stakeholders, covering regulatory requirements and internal management specifications. You ll also be responsible for: Delivering daily finance control activities for the Treasury Fixing any source system reconciliation issues Engaging with a variety of stakeholders to understand and deliver on their requirements Managing the reporting of independent price verification while performing monthly price verification, the prudent valuation process and reporting for key stakeholder review meetings Understanding the valuation of different Treasury products while performing independent verification of the price The skills you ll need To be successful in this role, you ll need good numeracy and analytical skills. We ll also look to you to have an understanding of banking products. You ll also need: A qualification in CA or MBA with at least 3 years of experience Knowledge of Treasury products and fair valuation An understanding of Microsoft Office, including good Excel skills An understanding of rates and FX derivatives, funding markets and basic statistical concepts Experience in a product control or a highly complex financial control role within a global bank Hours 45 Job Posting Closing Date: 15/05/2025

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20 - 28 years

12 - 16 Lacs

Hyderabad

Work from Office

Job Overview 1. Primarily responsible for overall financial functions of the Company 2. Strictly adhering to the company's financial procedures & systems 3. Duties will include Budgeting & Forecasting, Day-to-Day transactions, Sub-Contractor bills, Store Reconciliation, Preparation of Management reports and submission of Project invoices. 4. To succeed in this role, you must demonstrate in-depth knowledge in financial policies, procedures, and systems. 5. In addition to being an excellent communicator, the Head should have a deep commercial awareness, negotiation skills, strong numeracy skills, and a keen interest in the growth, efficiency and profitability of an organization. Roles & Responsibilities 1. Plan, organize and execute financial tasks and projects of the organization. 2. All Financial Reports 3. Ensure financial records are kept up-to-date with the latest transactions and changes 4. Lead Financial, Internal & Stock Audits 5. Compliance with Tax and Regulation Policies 6. Audit Reports 7. Reconcile and maintain balance of all suppliers and sub-contractors. 8. Monitor & maintain Cost & Income accruals on monthly basis. 9. Monitor Project accounting & progress reporting on daily basis. 10. Preparation of cash flow rolling forecast on monthly basis. 11. Keep up with financial policies, regulation and legislation. 12. Examining expenses submitted by employees & Suppliers / Subcontractors. 13. Assist with implementing and maintaining internal financial controls and procedures. 14. Maintain Statutory Compliances on regular basis. 15. Provide financial insight and analysis to drive the business performance of the organization. 16. Understand and calculate risks involved in the financial activities of the organization. 17. Experience in Banking Qualification Masters Degree in Accounting & Finance/MBA / CA Inter/ICWAI Inter Skills 1. Thorough understanding of Accounting Standards. 2. In-depth knowledge of financial & tax regulations and accounting processes. 3. Analytical thinker with strong conceptual and problem-solving skills. 4. Meticulous attention to detail with the superb organizational skills. 5. Ability to work under pressure and meet tight deadlines. 6. Ability to work independently and as part of a team. 7. Excellent report-writing and communication skills. 8. Solid proficiency in Microsoft Office, ERP, FOCUS and other financial planning software. Preferable: Previous experience related to highways, bridges, engineering, railway and EPC based projects

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15 - 20 years

40 - 60 Lacs

Faridabad

Work from Office

Relationship with banks & statutory bodies for smooth business operation &working capital requirements. Responsible for credit rating . Financial reporting to management. Review of Due Diligence &Valuation Reports, Balance Sheet splitting. Required Candidate profile Must have worked with larger manufacturing companies. Candidates having worked in Banks / NBFCs shall be given preference. Should have excellent leadership, interpersonal and relationship management

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5 - 7 years

1 - 3 Lacs

Mumbai

Work from Office

About The Role Role Finance and Administration CSR: 360 degree CFO Like responsibility in running functions and entities Will be responsible for managing accounts, compliances and Tax for ~ 3 not for profit entities Will support financial reporting for CSR Hybrid work structure for work life balance Requirement CA with 5-7 years of experience Deep understanding of financial, legal, tax and compliances matter .

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10 - 20 years

12 - 18 Lacs

Chennai

Work from Office

Roles and Responsibilities Oversee financial management, including accounts finalisation, budgetary control, creditors management, and cash flow management. Develop and implement strategic financial plans to drive business growth and profitability. Ensure compliance with regulatory requirements, internal policies, and industry standards. Manage finances effectively by preparing accurate budgets, forecasts, and reports. Identify areas for cost reduction and optimize resource allocation. Desired Candidate Profile 10-20 years of experience in finance leadership roles within the engineering & construction industry. CA qualification (any specialization). Strong expertise in audit management, financial management, finance control, fund management, strategic financial planning. Candidates from health care industry is an added advantage. share your cv to chr_1@deepamhospitals.com and whats app your cv to 7338895269

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10 - 20 years

8 - 12 Lacs

Sangli

Work from Office

- Develop and execute the company’s financial strategy in alignment with its business objectives. - Collaborate with the CEO and executive team to influence long-term plans, investments, and growth strategies. Lead Finance & accounts dept .

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3 - 6 years

11 - 15 Lacs

Bengaluru

Work from Office

Job Summary: We are seeking a dynamic and detail-oriented Finance Head to lead and manage the finance function of our organization. The ideal candidate will be a Chartered Accountant with 35 years of post-qualification experience in financial strategy, compliance, budgeting, and financial reporting. This is a full-time, office-based role. Key Responsibilities: Lead the financial planning and analysis (FP&A) process including budgeting, forecasting, and variance analysis. Manage all accounting operations including billing, A/R, A/P, GL, cost accounting, inventory accounting, and revenue recognition. Ensure compliance with statutory law and financial regulations. Prepare timely and accurate financial statements and reports for management and stakeholders. Coordinate with external auditors and manage the audit process. Develop and implement financial policies and procedures to ensure operational efficiency. Monitor internal controls and implement improvements as needed. Liaise with department heads to support business decisions with financial insights. Requirements: Qualified Chartered Accountant (CA) – Mandatory. 3–5 years of post-qualification experience in a finance leadership or managerial role. Strong knowledge of Indian accounting standards, tax laws, and corporate finance. Proven experience in budgeting, forecasting, financial modeling, and analysis. Excellent leadership, communication, and interpersonal skills. Ability to work from the office and collaborate with cross-functional teams.

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10 - 15 years

18 - 25 Lacs

Chennai

Work from Office

Post: AGM Accounts & Finance (CA Candidate only )for corporate co @Chennai We require a Chartered Accountant for AGM Accounts & Finance position for a FMCG co at Chennai. Post: AGM Accounts & Finance Location: Chennai Qualification: ONLY CHARTERED ACCOUNTANT CA candidates only Experience: Minimum 10 years + post qualification as a Senior manager/AGM/GM Finance & Accounts. CTC: Maximum gross up to 24 LPA based on your current salary. Language: Must speak TAMIL & ENGLISH Oversee and manage the general accounting functions, including but not limited to accounts payable, accounts receivable, general ledger, and taxes. The candidate should have experience in Financial Accounting and Banking operation. Preparation of CMA data & Stock statement to Bank. Preparation of Monthly MIS statement. Prepare, review, and analyze financial statements to ensure accuracy and completeness. Working capital management, Inventory Management, Debtors/ Creditors Management. Costing Management Coordinate with internal and external stakeholders for quarterly and annual audits and financial reporting. Handle tax computations, filings, and statutory compliance. Analyze financial data and provide strategic recommendations to senior management. Review of day to day Accounting transactions and tax compliances. Daily monitoring of inventories and monthly reconciliation. Review of Bank reconciliation statement. Key Skills: Expertise in Tally, ERP software, and advanced Excel. Strong knowledge of accounting principles and tax laws. Strong understanding of IT,TDS,GST etc. If your experience suits our JD, Pl share your updated resume to jobs@banyantalenthr.com

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10 - 15 years

25 - 30 Lacs

Vadodara

Work from Office

Assist in developing & implementing financial strategies aligned with organizational goals Oversee the preparation, monitoring, & reporting of budget Advisory on Financial Restructuring Fund raising, investment portfolios & working capital management Required Candidate profile CA with 10+ years of experience Knowledge of GAAP & IFRS, INDUS accounting and Tax laws Experienced with routine tax compliances, IT, Tax audit, GST, TDS, PFESI, PT, Custom, ROC etc

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10 - 14 years

12 - 18 Lacs

Kochi, Ernakulam

Work from Office

Provide financial projections, responsible for budget/control, ensure adhrerence to accounting standards, GST, other tax related statutory compliances. Perform financial statement analysis Regular MIS to stakeholders Required Candidate profile CMA, M.com or CA Inter with 10+ years exp in Indian manufacturing companies at senior position. Job Location - Kochi, Kerala

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4 - 5 years

18 - 20 Lacs

Mumbai

Work from Office

1.Overviewing accounting transactions 2.Timely bank payments 3.Quarterly preparation of financials 4. Statutory Compliance 5.GST Registration 6.Preparation of budgets 7.Daily cash and fund flow statement 8.Coordination with Auditors

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15 - 24 years

30 - 45 Lacs

Hyderabad

Work from Office

This position will be responsible for overseeing the entire finance and accounts function of the organization. This includes financial planning, reporting, compliance, and internal controls to ensure the company's financial health and sustainability. Key Responsibilities Manage and oversee all aspects of financial management, accounting, and reporting. Prepare accurate financial statements, forecasts, and budgets. Ensure compliance with statutory regulations, tax laws, and financial reporting standards. Develop and implement internal controls to safeguard company assets. Monitor cash flow, fund management, and working capital requirements. Supervise and guide the finance and accounts team. Coordinate with external auditors, banks, and financial institutions. Support strategic decision-making through financial analysis and insights. Drive cost management initiatives and efficiency improvements. Preferred candidate profile Qualified Chartered Accountant Perks and benefits Salary Bonus Mediclaim Gratuity

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8 - 13 years

10 - 20 Lacs

Noida

Work from Office

General Manager - Finance Location: ICCS, Noida Experience: Minimum 8 years Qualification: Chartered Accountant (CA) Job Summary: ICCS is looking for an experienced General Manager - Finance to lead and manage the financial operations of the company. The ideal candidate should have strong expertise in taxation, financial controlling, financial statements, statutory audits, and compliance. This role requires a strategic thinker who can drive financial efficiency, ensure regulatory adherence, and support business growth. Key Responsibilities: • Oversee the financial reporting, budgeting, and forecasting processes. • Ensure timely and accurate preparation of financial statements in compliance with regulatory requirements. • Lead statutory audits, tax audits, and other regulatory audits. • Develop and implement financial controls and policies to maintain compliance and financial integrity. • Manage direct and indirect taxation, including GST, corporate tax, and transfer pricing. • Liaise with regulatory authorities, auditors, and tax consultants to ensure compliance. • Drive cost optimization initiatives and financial risk management strategies. • Ensure compliance with Companies Act, SEBI, RBI, and other financial regulations. • Support strategic decision-making by providing financial insights and analysis. • Mentor and lead the finance team for operational excellence. Key Requirements: • Chartered Accountant (CA) • Minimum 10 years of experience in finance, taxation, audits, and financial controlling. • Strong knowledge of Indian accounting standards, taxation laws, and compliance regulations. • Experience in handling statutory audits, internal audits, and financial due diligence. • Expertise in financial planning, budgeting, and analysis. • Proficiency in ERP systems and financial tools. • Excellent leadership, analytical, and communication skills. Preferred Experience: • Prior experience in a BPO/KPO or service industry will be an added advantage. • Strong understanding of corporate finance and investment strategies.

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4 - 9 years

0 - 1 Lacs

Vadodara

Work from Office

we are looking Finance Head for a multispeciality Hospital Must be working in healthcare industry Education :- CA Can handle independently

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