Associate - Finance

Super Tribe

Mumbai

On-site

INR 300,000 - 450,000

Full time

3 days ago
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Job summary

Super Tribe in Mumbai is seeking a finance professional for the Reporting To - Senior Finance Associate / Management Trainee role. The position supports accounting review, reconciliations, compliance, and monthly MIS readiness for startups and SMEs, with about 1 year of hands-on finance experience.

You will perform ledger scrutiny, bank reconciliations, and support GST/TDS filings, contributing to month-end close and data preparation.

Qualifications

  • Hands-on finance experience (~1 year) and foundational accounting skills.
  • Familiarity with GST, TDS, PF/ESI and compliance basics.
  • Strong Excel and accounting software comfort.

Responsibilities

  • Perform ledger scrutiny and trial balance checks.
  • Prepare bank reconciliations and balance sheet support schedules.
  • Support GST, TDS, PF, ESI filings and compliance work.
  • Prepare working papers for MIS and month-end review.
  • Identify errors and unreconciled balances and missing entries.
  • Coordinate data with clients and resolve queries.
  • Maintain organized folders and tracking sheets.
  • Assist with MIS data population and financial reporting.

Skills

Accounting fundamentals
Reconciliations
Excel
Accounting software

Education

B.Com
M.Com
CA Inter
CMA Inter
Article background

Tools

Tally

Job description

Reporting To - Senior Finance Associate / Management Trainee
Role Summary

We are hiring finance professionals who can support accounting review, reconciliations, compliance processes, and monthly MIS readiness for startups, SMEs, and growth stage businesses. This role is ideal for candidates with around 1 year of hands‑on finance experience who want to build strong fundamentals across books review, compliance support, reconciliations, working papers, and financial data preparation.

Key Responsibilities
  • Perform ledger scrutiny, trial balance review, and account-grouping checks.
  • Prepare bank reconciliations and key balance sheet support schedules.
  • Support GST, TDS, PF, ESI, and related compliance workings / filings.
  • Prepare working papers required for MIS and month-end review.
  • Identify accounting errors, classification issues, unreconciled balances, and missing entries.
  • Coordinate with clients for data, documents, clarifications, and pending queries.
  • Maintain folder structure, file hygiene, and tracking sheets.
  • Support monthly MIS number population and financial data preparation.
Desired Candidate Profile
  • B.Com / M.Com / CA Inter / CMA Inter / article background preferred
  • Around 1 year of relevant experience
  • Strong accounting and reconciliation fundamentals
  • Basic compliance familiarity
  • Good Excel and accounting software comfort
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