About the company:
A rapidly growing investment management firm specializing in alternative funds, offering customized solutions for investors. Manages fund accounting, NAV computation, portfolio tracking, investor reporting, compliance, audits, fee management, and enhances efficiency through automation.
1. Fund Accounting & Reporting
• Maintain books of accounts for multiple AIF schemes (Cat II and Cat III) under IGAAP.
• Ensure accurate and timely calculation of Net Asset Value (NAV) on a periodic basis (monthly/quarterly as per fund terms).
• Track and record income accruals from structured debt instruments (NCDs, CPs, PTCs, securitized receipts, etc.).
• Post and reconcile investment transactions, including purchases, redemptions, amortization, mark-ups, and capital gains/losses.
• Monitor coupon income, redemption premiums, purchase discounts, and variable cash flows for PTCs and securitized assets.
2. Investor-Level Accounting
• Maintain detailed investor books including capital contributions, units, class-wise allocations, and fee/waterfall tracking.
• Ensure time-weighted allocation of daily income and expenses to investors based on their class and contribution timing.
• Process investor calls, distributions, and generate Capital Account Statements.
• Handle fee calculations (management fees, performance fees, hurdle, catch-up, etc.) per PPM terms.
• Handle expense allocations and calculations as per PPM terms
3. Compliance & Regulatory Filings
• Ensure timely and accurate filing of: o SEBI monthly/quarterly reports (AIF templates) o Form 64D & 64C under Income Tax o Annual PPM compliance report, valuation reports, and statutory audit disclosures o Other applicable compliances .
• Liaise with compliance teams and custodians to ensure adherence to SEBI AIF Regulations and FEMA guidelines, if applicable
4. Audit, Taxation & Controls
• Coordinate with statutory auditors, internal auditors, and tax advisors for fund-level audits and filings.
• Ensure correct TDS computation and filing (Form 26Q, Form 15CA/CB where required).
• Reconcile books with custodian/bank statements and investment manager records regularly.
• Implement and maintain strong internal controls to ensure accuracy and compliance.
5. Systems, Process & Team Management
• Lead or support automation initiatives including fund accounting software, Excel based models, macros, and reconciliation tools.
• Manage or mentor junior accountants or outsourced service providers.
• Prepare dashboards and analytics for the Investment Manager / Fund Manager / Board.
Key Skills & Requirements:
• Finance with 2+ years of experience in fund accounting, preferably
in an AIF, PMS, or AMC.
• Sound understanding of:
o SEBI AIF Regulations (2012)
o Indian accounting standards (IGAAP)
o Debt instruments and cash flow-based valuation
o NAV computation and investor-level unit accounting
Skills:
• Strong Excel and Zohobooks/ERP/specialized fund accounting tools knowledge.
• Experience in audit, taxation, and regulatory reporting for AIFs.
• Excellent analytical, communication, and team management skills.
Preferred Experience:
• Prior exposure to Category III AIFs with leverage, complex fee structures, or frequent
trading.
• Experience handling multiple funds across different investor classes with varying fee
and distribution structures.
Read Lessbout Company
The company operates in the interior design industry, providing innovative workspace solutions powered by immersive visualization and project management tools.
Job Description
We are seeking a highly skilled and motivated individual to join our team as Finance Manager. The ideal candidate will be responsible for managing investor relations, fundraising initiatives, treasury management, and maintaining accurate Management Information Systems (MIS).
Key Responsibilities :
Prepare and review various Management Information Systems (MIS) tailored for investors, bankers, board members, and internal stakeholders.Coordinate with relevant teams to gather necessary data and ensure accuracy and timeliness of MIS reports.Initiate and manage fundraising activities by liaising with investment bankers to assess financing options and structures.Conduct due diligence processes and coordinate with internal teams and external stakeholders for smooth completion of transactions.Engage with bankers to secure short-term and long-term loan facilities, including negotiating terms and pricing.Oversee end-to-end documentation for loan facilities, ensuring compliance with regulatory requirements and internal policies.Maintain communication with bankers and investors to provide updates on financial activities and address queries or concerns.Collaborate with internal departments to optimize treasury management strategies and enhance financial performance.Stay updated on industry best practices and regulatory developments related to investor relations, fundraising, and treasury management.Qualifications
Chartered Accountant (CA) qualification is mandatory.Chartered Financial Analyst (CFA) certification preferred.3-5 years of experience in investor relations and fundraising.Strong financial acumen and understanding of capital markets.Excellent communication and presentation skills.Proven ability to build and maintain investor and stakeholder relationships.Advanced proficiency in Microsoft Excel and financial modeling.Ability to work independently as well as collaboratively in a team environment.Mandatory Requirement
Primary Job Profile : Financial Reporting/ MIS
Technical Skills : Bank relationship mgmt, Due diligence, Investor Reporting
Read LessAbout Company :
A well-funded startup revolutionizing healthy snacking with a diverse range of clean-label, gluten-free, and preservative-free products. Focused on convenience and health, the company continues to set new benchmarks in the industry.
Key Responsibilities :
1. MIS & Financial Operations
Lead preparation of monthly MIS, dashboards, and financial summaries for management and investors.Coordinate monthly closings, reconciliations, and variance analysis.Support fund-raising processes by preparing required financial data and due diligence documentation.Handle investment-related queries and data validations.Ensure strong financial controls and timely reporting.Work with SQL and advanced Excel for financial data extraction and analytics.2. Taxation & Statutory Compliance :
Manage end-to-end GST compliance - returns (GSTR-1, 3B, 9), reconciliations, registrations, and audit responses.Oversee TDS compliance - deductions, deposits, reconciliations, and filings (Form 24Q, 26Q).Coordinate Income Tax assessments, audits, and advance tax computations.Handle payroll-related statutory compliances - PF, ESI, PT, and labor law filings.Manage MSME filings and related compliances.3. Audit & Controls
Liaise with statutory and internal auditors for all tax and MIS-related matters.Strengthen internal control systems and maintain complete documentation and audit trails.Identify areas for process improvement in compliance and reporting.4. Team Management
Supervise one repartee within the MIS vertical.Provide guidance and review deliverables related to reconciliations, reporting, and controls. Read LessAbout Company
An AI-driven platform that enhances research and due diligence processes for financial institutions, make more informed, data-backed decisions efficiently
Job Description
We are seeking a detail-oriented Financial Analyst to develop, quality-check, and refine AI-generated deliverables for our financial services clients. This role combines financial analysis, prompt engineering, and peer review in a fast-paced, AI-enhanced environment.
Key Responsibilities :
Workflow Execution (40%): Build and quality-control customized research and financial analysis workflows using predefined templates.AI Prompting (30%): Design, test, and refine prompts for large language models; ensure 40% AI-content utilization in final deliverables.Peer Review (20%): Act as "quality captain" on rotation, reviewing team outputs to ensure accuracy and consistency.Knowledge Sharing (10%): Document innovations, efficiencies, and insights in the team playbook to support scale and consistency.Required Qualifications :
2-4 years of experience in Investment Banking, Private Equity, Big 4 Transaction Services, or Equity Research.Proficiency with financial data platforms (e.g., CapIQ, FactSet, PitchBook); ability to source and build comps independently.Intermediate Excel skills (XLOOKUP, INDEX MATCH) and PowerPoint formatting (e.g., slide master usage).Strong attention to detail, particularly when working with AI-generated content.Excellent written English for client-facing communications and deliverables.Nice-to-Have:
MBA or a top-tier finance degree.Progress toward CFA Level 1 or FMVA.Advanced Excel capabilities, including dynamic arrays and macros.Mandatory Requirement
Primary Job Profile : Investment Analysis
Technical Skills : FP&A, Investment analysis
Candidate Industry Requirement: PE/ VC/ AMC/ IB
Candidate Location Requirement: Remote
Read LessAbout Company: This seed-funded clean tech startup creates eco-friendly, biodegradable packaging from crop waste.
Job Description
About Company: Company is a Series B-funded SaaS startup, backed by leading investors, that is reimagining how enterprises gain visibility into their digital operations.
Key Responsibilities:
• Strategic Finance: Partner with the founders and leadership team on strategic planning, fundraising, and long-term financial modeling.
• Budgeting & Forecasting: Build and manage the annual budget, forecasts, and financial KPIs for the business.
• Investor Relations: Manage board/investor reporting, support due diligence, and ensure transparency in communication.
• Controllership: Oversee accounting, audits, compliance, and financial controls to ensure accuracy and regulatory compliance (Income Tax, GST, etc.)
• Revenue & SaaS Metrics: Track key SaaS metrics - MRR/ARR, CAC, LTV, churn, burn multiple, etc., and drive insights for improvement.
• Cash Flow & Treasury: Manage cash flow planning, working capital management.
• Team Leadership: Build and lead a high-performance finance team across controllership, FP&A, and compliance functions.
• Process Automation: Identify opportunities for automation within financial operations and implement tools/systems to improve efficiency and accuracy.
What We're Looking For:
• Chartered Accountant with12-15 years of experience.
• Strong exposure to finance in SaaS or product-based startups is a strong advantage.
• Proven ability to manage both strategic finance and operational finance.
• Hands-on approach with a problem-solving mindset - comfortable working in a fast-paced startup environment.
• Strong communication and stakeholder management skills.
Read LessAbout Company: Company is a B2B travel platform that helps partners offer multiple travel services through a single, easy-to-use system.
Roles and Responsibilities:
• Set up and manage the company's finance, accounting, and compliance functions (book-keeping, statutory filings, GST/TDS/TCS, ROC, RBI/FEMA, etc.).
• Lead fundraising support by preparing financial models, MIS dashboards, due diligence data rooms, and investor reporting.
• Partner with the founder in closing the upcoming funding round (reviewing term sheets, SHA/SSA, coordinating with legal/tax advisors, managing investor discussions & relationships).
• Build scalable processes for budgeting, cash-flow, compliance, and governance aligned with startup best practices.
Ideal Profile:
• Chartered Accountant (CA) with 7+ years of experience in finance, compliance, and fundraising.
• Hands-on experience working in a startup/fast-growth environment.
• Has successfully led or been deeply involved in Series A and Series B fundraising transactions.
• Strong understanding of Indian regulatory frameworks and investor due diligence requirements.
• Proactive, detail-oriented, and comfortable working closely with founders in a lean team.
Read LessJob Summary: Finance Controller is responsible for oversee the finance, commercial and accounting functions for our Renewable Energy and EPC businesses. This role will be responsible for financial planning, project accounting, cost control, statutory compliance, tender evaluation, commercial negotiations, receivables management, disposal of advances & deposits, optimisation of input tax credit under GST, claims settlement, handling the queries of statutory and internal auditors in his areas reporting and etc., while ensuring strong financial discipline across projects and operations. The Financial Controller will play a critical role in ensuring financial discipline across projects, supporting bid management, business growth, driving profitability, and ensuring compliance with industry regulations.
Key Responsibilities
1. Financial Planning & Control
Lead annual budgeting, forecasting and long-term financial planning for Renewable Energy and EPC verticals.
Monitor project-wise and business unit-wise financial performance against budgets and KPIs.
Establish effective cost control and margin monitoring systems.
Provide financial insights to support management in strategic and operational decision-making.
2. Project Finance & Accounting
Manage project accounting for renewable energy and EPC projects, including CAPEX, OPEX and cash flow monitoring.
Ensure accurate revenue recognition in line with project milestones and accounting standards.
Oversee working capital management, including receivables, payables and inventory.
Support project financing, debt structuring and liaise with banks/FIs for funding requirements.
3. Commercial & Tendering
Support bid management teams in preparing financial models, pricing strategies and cash flow projections for tenders.
Review tender documents to identify financial, tax and contractual implications.
Lead commercial negotiations with clients, EPC contractors and suppliers to safeguard company interests.
Assess risks in contracts and ensure adequate financial and legal protections are built in.
Work closely with business development and tendering teams to improve bid win rates.
4. Compliance & Governance
Ensure compliance with statutory, tax and regulatory requirements related to power, EPC and infrastructure projects.
Implement and maintain strong internal control systems to safeguard company assets.
Coordinate with internal and external auditors for smooth audit closure.
Ensure compliance as per applicable accounting standards.
5. Reporting & MIS
Prepare accurate and timely financial statements, MIS reports and management dashboards.
Provide analysis of profitability, cost trends and project financial health to senior management.
Assist in preparation of board presentations and investor reports.
6. Business & Strategic Support
Partner with business leaders in evaluating new projects, bids and contracts.
Provide financial due diligence support for M&A, joint ventures or strategic partnerships.
Assess financial risks in contracts, EPC projects and renewable energy operations.
Drive process improvements and digital initiatives in financial systems and reporting.
6. Team Leadership & Development
Lead and mentor the finance and accounts team across Renewable Energy and EPC businesses.
Build strong internal capabilities in project accounting, treasury and compliance.
Foster a culture of accountability, accuracy and continuous improvement.
Key Skills & Competencies
Strong knowledge of project finance, EPC accounting and renewable energy sector dynamics.
Expertise in financial modelling, project costing and profitability analysis.
Sound understanding of accounting standards and regulatory requirements.
Proficiency in MS Excel.
Strong leadership, analytical and problem-solving skills.
Excellent communication and stakeholder management abilities.
Qualifications & Experience
Chartered Accountant (CA) is mandatory.
12-15 years of post-qualification experience in finance, with at least 5+ years in Renewable Energy/EPC/Infrastructure sectors.
Hands on experience on Tally ERP
Proven track record in managing project finance, audits and financial reporting.
Experience in working with lenders, investors and external stakeholders.
Willingness to travel to project sites, client offices and vendor locations as required.
About Company
A century old diversified business group operating across multiple sectors (Renewable energy, Textiles, Financial Services, etc), focused on sustainable practices and aiming to be globally recognized for delivering sustainable solutions.
Read LessAbout Company
A leading retail-focused Non-Banking Financial Company in India, known for its broad reach in the lending sector and catering to both mainstream and underserved customers. It offers tailored financial solutions across Urban Finance, Farmer Finance, SME Finance, and Rural Business Finance. Backed by a major conglomerate, the company is publicly listed, holds a strong credit rating, and has a workforce of around 30,000, with over three decades of industry presence.
Job Description
Key Responsibilities:
Assist in preparing investor presentations, financial updates, and quarterly earnings material.Analyze and interpret company financials, performance metrics, and business KPIs.Support in managing investor queries, meetings, and follow-ups.Co-ordinate with internal teams (Finance, Strategy, Treasury, Compliance) for data and inputs.Maintain investor records, trackers, and CRM databases.Assist with due diligence and documentation requests from current and prospective investors.Support the senior IR team in managing investor roadshows, events, and communications.Prepare briefing notes, competitor comparisons, and FAQ documents. Read LessAbout Company
The company designs advanced material layers used in everything from vehicles to modern architecture, offering protection, comfort, and energy efficiency.
Purpose of the Role
Support the Chief Financial Officer in managing Accounts, Finance, Costing, Financial Reporting, Audit, Compliance, and Governance at Manufacturing Operations Level.Drive robust reporting, strengthen internal controls, and enable strategic financial decision-making for export-oriented continuous process manufacturing operations.Key Responsibilities
Strategic Finance Support
Partner with CFO on profitability, cost optimization, and business growth.Drive process improvements, automation, and adoption of best practices.Accounts & Reporting
Lead the Accounts function ensuring accuracy, integrity, and compliance with Ind-AS.Ensure timely closings and preparation of standalone and consolidated financial statements.Provide MIS and analytical support for informed decision-making.Business Control & Support to Operations Team
Collaborate with the Manufacturing Team to achieve Operational Excellence.Proactively monitor and provide triggers on key financial parameters such as inventory and efficiency.Support automation and digitisation initiatives.Audit, Governance & Controls
Manage statutory and internal audits to closure.Strengthen internal financial controls, risk management, and corporate governance frameworks.Compliance
Ensure adherence to FEMA, RBI, SEBI, and Companies Act regulations.Liaise with auditors, consultants, and regulators for smooth compliance operations.Team Leadership
Lead, mentor, and develop the finance team.Foster accountability, capability building, and a culture of compliance and excellence.Key Skills & Competencies
Leadership capability with a proven record in developing high-performing finance teams.Strong focus on accuracy and precision in financial reporting and processes.Effective management of multiple priorities and deadlines.Honesty, transparency, and high ethical standards in decision-making.Commitment to efficiency, accountability, and reliability.Emphasis on continuous improvement and data-driven insights.Ability to optimize financial and human resource utilization. Read Less