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OfBusiness Group is a leading Indian supply chain platform serving SMEs with market discovery, raw materials, financing and digital transformation.
We seek a senior finance professional to lead budgeting, forecasting, Capex evaluation, treasury, tax compliance, and audits, ensuring strong financial controls and business partnering across functions.
OfBusiness Group is India’s largest and most efficient supply chain platform, which serves as a one‑stop
solution for small and medium businesses to alleviate all major pain points—market discovery, raw
materials, financing, and digital transformation—everything served to customers at their fingertips, us
being tech-enabled.
We are positioned as one of India's largest & most profitable unicorns that is following a relentless
pursuit of excellence and unparalleled growth.
The span of our business portfolio, wherein each venture excels in its respective domain, includes
Financial Statements: Lead the timely closing and preparation of monthly, quarterly, and annual financial statements in compliance with relevant standards ([GAAP/IFRS/Ind AS]).
Advanced MIS & Variance Analysis: Deliver accurate Management Information Systems (MIS) reporting; analyze variances between actuals, budgets, and forecasts to identify revenue leakages or cost overruns.
Fixed Assets & Inventory Accounting: Oversee the fixed asset register, depreciation schedules, and inventory valuation controls.
Financial Planning: Drive the annual budgeting process and periodic financial forecasting across departments; track expenditures against targets.
Capex Evaluation: Review and validate Capital Expenditure (Capex) proposals, conducting payback period and ROI analysis to support investment decisions.
Pricing & Contract Review: Collaborate with commercial teams to review vendor contracts, pricing models, and service level agreements (SLAs) from a financial viability standpoint.
Cash Flow Management: Monitor daily cash flows, optimize working capital cycles (AR/AP management), and prepare short- to medium-term liquidity forecasts.
Banking Operations: Assist in managing banking relationships, executing fund transfers, and ensuring compliance with credit facility covenants and loan documentations.
Tax Compliance: Ensure timely execution, filing, and reconciliation of all direct and indirect tax returns (e.g., Corporate Tax, GST/VAT, TDS/Withholding Tax).
Audit Management: Act as the primary liaison for internal, external, and statutory audits, ensuring swift resolution of audit queries and compliance with internal financial controls (IFC).
Regulatory Filings: Manage statutory secretarial and financial compliance filings with relevant government or corporate regulatory bodies.
Qualifications: Bachelor’s degree in Finance/Accounting. Professional certification (CA, CPA, ACCA, CMA, or MBA Finance) is highly preferred.
Experience: 5–7 years of progressive corporate finance experience, including a minimum of 2 years in a supervisory or team-leading capacity.
Technical Proficiency: Advanced MS Excel skills (financial modeling, macros) and hands‑on experience with Tier‑1 ERP systems (SAP, Oracle, or NetSuite).
Competencies: Strong analytical capabilities, sharp attention to detail, and the ability to articulate complex financial data to non‑finance stakeholders.
Competitive Compensation
Career Growth & Leadership Opportunities