Job
Description
**Job Description** You will be responsible for managing various finance functions including accounting & close, FP&A, controllership & IFC, audit & compliance, tax, treasury, revenue ops & procurement, systems/automation, insurance & risk, and board/management reporting. Additionally, you will handle company secretarial work related to governance & board secretariat, statutory records & filings, and capital-markets activities such as pre-IPO, IPO, and post-listing requirements. - **Key Responsibilities:** - Accounting & Close: Handle Ind AS books, month/quarter/year close, revenue recognition, cost accounting, and fixed assets management. - FP&A: Prepare AOP, rolling forecasts, MIS/KPI dashboards, variance & unit economics analysis, and collaborate with business leads. - Controllership & IFC: Develop policies/SOPs, manage ICFR/IFC, conduct reconciliations, and oversee inventory & capex governance. - Audit & Compliance: Lead statutory/internal/tax audits, ensure timely resolution of findings, and maintain compliance. - Tax: Manage corporate tax, GST, TDS/TCS, filings, assessments, and coordinate transfer pricing activities. - Treasury, FX & Hedging, Working Capital: Plan cash-flow, oversee banking lines, LCs/BGs, currency exposure mapping, and execute hedge accounting strategies. - Revenue Ops & Procurement: Ensure billing/collections hygiene, optimize credit policy, streamline vendor onboarding, and enhance P2P & O2C efficiency. - Systems/Automation: Utilize ERP systems such as SAP/Oracle/NetSuite/Tally, implement e-invoicing, automate workflows, and maintain data hygiene. - Insurance & Risk: Manage coverage, renewals, claims, and basic BCP practices. - Board/Management Reporting: Prepare board decks, flash reports, track covenants, and monitor operating metrics. - **Company Details:** - Omit (If not present in JD) - **Required Qualifications:** - Chartered Accountant (CA/CS) certification is mandatory. - Minimum 10+ years of corporate finance experience, preferably in infrastructure, manufacturing, procurement, or trading sector. - Qualified Company Secretary (ICSI) with valid membership. - Strong expertise in monthly close, budgets, audits, tax, treasury (incl. FX/hedging), and end-to-end compliance. - Working knowledge of Pre-IPO, IPO execution, and post-listing obligations. - Profound understanding of corporate laws, SEBI regulations, and governance practices. - Attention to detail and a high level of integrity. - Proficiency in ERP systems like Quickbooks or Zoho, Excel, and financial control frameworks. *Work Location*: Vaishali Nagar, Jaipur (On-site position; candidates must be based in or willing to relocate to Jaipur) *Job Types*: Full-time, Permanent **Benefits:** - Provident Fund *Application Question(s):* - Working knowledge of Pre-IPO, IPO execution, and post-listing obligations - Are proficient in ERP systems like Quickbooks or Zoho, Excel, and financial control frameworks *Education*: Bachelor's (Required) *Experience*: Corporate finance: 10 years (Required) *License/Certification*: - Chartered Accountant (Preferred) - Company Secretary (Preferred) *Work Location*: In person **Job Description** You will be responsible for managing various finance functions including accounting & close, FP&A, controllership & IFC, audit & compliance, tax, treasury, revenue ops & procurement, systems/automation, insurance & risk, and board/management reporting. Additionally, you will handle company secretarial work related to governance & board secretariat, statutory records & filings, and capital-markets activities such as pre-IPO, IPO, and post-listing requirements. - **Key Responsibilities:** - Accounting & Close: Handle Ind AS books, month/quarter/year close, revenue recognition, cost accounting, and fixed assets management. - FP&A: Prepare AOP, rolling forecasts, MIS/KPI dashboards, variance & unit economics analysis, and collaborate with business leads. - Controllership & IFC: Develop policies/SOPs, manage ICFR/IFC, conduct reconciliations, and oversee inventory & capex governance. - Audit & Compliance: Lead statutory/internal/tax audits, ensure timely resolution of findings, and maintain compliance. - Tax: Manage corporate tax, GST, TDS/TCS, filings, assessments, and coordinate transfer pricing activities. - Treasury, FX & Hedging, Working Capital: Plan cash-flow, oversee banking lines, LCs/BGs, currency exposure mapping, and execute hedge accounting strategies. - Revenue Ops & Procurement: Ensure billing/collections hygiene, optimize credit policy, streamline vendor onboarding, and enhance P2P & O2C efficiency. - Systems/Automation: Utilize ERP systems such as SAP/Oracle/NetSuite/Tally, implement e-invoicing, automate workflows, and maintain data hygiene. - Insurance & Risk: Manage coverage, renewals, claims, and basic BCP practices. - Board/Management Reporting: Prepare board decks, flash reports, track covenants, and monitor o