Finance & Accounts Manager

Zoho

Bengaluru Urban

On-site

INR 2,800,000 - 4,600,000

Full time

14 days+
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Job summary

Zoho Bengaluru seeks an experienced Finance & Accounts Manager with 8–10 years in corporate finance to own end-to-end accounting, compliance, and reporting for a fast-growing SaaS startup. You will manage daily cash flows, tax compliance, and maintain audit-ready records for management and investors.

The role requires hands-on execution in a tech environment, proficiency in Tally Prime, Zoho Books, and NetSuite, and collaboration with banks, auditors, and leadership.

Qualifications

  • 8–10 years of progressive corporate accounting experience.
  • Experience in SaaS, Tech, or FinTech companies.
  • Startup environment experience with hands-on execution.
  • Proficiency with accounting software and MS Excel.
  • Knowledge of GST, TDS, MCA filings a plus.

Responsibilities

  • Manage end-to-end accounting and financial reporting.
  • Oversee cash flows and treasury management.
  • Ensure statutory compliance and timely audits.
  • Coordinate with auditors and investors for financial data.
  • Prepare management reports and investor dashboards.

Skills

Accounting
Financial Operations
Tax Compliance
Excel Proficiency

Tools

Tally Prime
Zoho Books
NetSuite

Job description

Bangalore South, India | Posted on 07/16/2026

We are looking for a hands-on, Finance & AccountsManager with 8–10 years of corporate finance experience to own ourend-to-end accounting, compliance, and financial reporting functions. In thisrole, you will manage daily cash flows, supervise robust tax and statutorycompliance, and maintain institutional-grade records for management andinvestor review. The ideal candidate brings a strong background in tech or SaaSenvironments, with the agility required to thrive in a fast-paced startupecosystem.

Key Responsibilities
1. Cash Flow & Treasury Management
  • Monitordaily cash flow movements and ensure optimal allocation of corporatefunds.
  • Overseeand streamline the timely reconciliation of bank statements and relatedpayment processes.
  • Manageworking capital efficiently to prevent liquidity bottlenecks and optimizerunway.
2. Accounts Payable (AP) & Receivable (AR) Management
  • Overseevendor payments and ensure full, accurate compliance with statutorydeductions such as TDS.
  • Monitoroutstanding receivables and actively track collections to reduce agingcycles.
  • Implementrobust credit control measures to mitigate bad debts and protect cashreserves.
  • Assistin organizing data and updating financial models to support analyticalrequirements for investor funding rounds.
3. Internal Controls & Compliance
  • Ensureall corporate financial transactions tightly adhere to internal governancepolicies and external statutory regulations.
  • Serveas the main point of contact for internal and external audits by buildingand maintaining accurate, audit-ready financial records.
  • Proactivelyidentify areas of financial risk and implement practical correctivemeasures.
4. Statutory & Tax Compliance
  • Ensuretimely and accurate filing of GST returns, TDS deductions, and relatedmonthly/quarterly tax payments.
  • Superviseall employee-related compliances, including EPF, LWF, and ProfessionalTax.
  • Trackand ensure adherence to company law requirements, working alongsideexternal advisors for routine MCA filings and annual returns.
  • Coordinateseamlessly with statutory auditors to drive smooth compliance cycles.
  • Takeexplicit ownership of key ROC Annual Filings: AOC-4 (Financial Statements) by October 30th and MGT-7 (Annual Return) byNovember 30th.
  • Prepare,close, and analyze periodic financial statements for core managementreview.
  • Ensureaccurate and timely statutory reporting to all relevant regulatoryauthorities.
  • Generaterecurring investor reports, tracking key SaaS metrics (where applicable)and assisting with financial projections.
  • Handlead-hoc financial reporting and analysis requests driven by managementpriorities.
6. Stakeholder Management
  • Assistin maintaining collaborative operating relationships with banks,investors, and financial institutions.
  • Supportthe Head of Finance in monitoring fund utilization and preparing datarooms for subsequent Series investment rounds.
  • Workclosely with legal and internal compliance teams to coordinate financialdue diligence processes.
Requirements
  • Experience: 8–10 years of progressive experience in corporate accounting, financialoperations, and direct compliance management.
  • IndustryDomain :Must have prior experience in a SaaS, Tech, or FinTechcompany.
  • WorkEnvironment : Must have prior experience working within a startupenvironment, demonstrating adaptability and hands-on execution.
  • TechnicalSkills: Excellent command of accounting software (e.g., Tally Prime,Zoho Books, NetSuite) and advanced proficiency in Microsoft Excel.
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