Insight Advisors Private Limited | Full time
Finance Manager
You'll set up the internal finance function at our organisation, owing it ends to end – from the monthly closing to fundraising support. This is a hands-on leadership role: you'll build the processes, own the monthly MIS reporting, and translate financial data into decisions as we scale.
Controllership & Reporting (with support from our external accounting partner):
- Own the end-to-end monthly, quarterly, and annual close with accuracy and strong governance.
- Prepare financial statements in line with Indian GAAP and applicable regulatory requirements.
- Ensure timely, reliable reporting to management and stakeholders.
- Maintain accounting hygiene, strengthen internal controls, and drive process improvements across finance.
Taxation & Compliance (with support from our external accounting partner):
- Oversee all direct and indirect tax filings, assessments, and reconciliation (GST, TDS, Income Tax).
- Lead statutory, tax, and internal audits, and serve as the primary point of contact for external auditors and legal partners.
- Stay ahead of regulatory changes and proactively assess their business implications.
Treasury, Debt & Cash Flow:
- Manage treasury operations, working capital optimisation, and liquidity planning.
- Prepare weekly and monthly cash flow forecasts and track variances against plan.
- Own banking relationships end to end and structure debt and treasury to fund working capital in the smartest way possible.
Financial Planning & Analysis (FP&A):
- Build detailed annual budgets, rolling forecasts, and scenario/sensitivity models.
- Deliver monthly MIS, P&L analysis, and business-unit performance dashboards to leadership
- Identify cost optimisation opportunities and support margin improvement initiatives.
- Partner with cross-functional teams to align spend with growth priorities.
Business Finance & Strategic Support:
- Partner with the founders and business leads to evaluate new projects and pressure-test unit economics.
- Work with business teams on revenue ops (including AR), the sales pipeline, and customer contract closures.
- Support fundraising, investor reporting, due diligence, and board financial reporting.
Process, Automation & Team:
- Design and implement SOPs that improve accuracy, efficiency, and accountability across finance workflows.
- Build automation and controls using AI across billing, revenue recognition, expense management, and reconciliation.
- Drive adoption of ERP and finance tools to scale operations efficiently.
Qualifications:
- Chartered Accountant (CA) - mandatory.
- 5-6 years of post-qualification experience, ideally with time in a high-growth startup.
- Strong working knowledge of Indian taxation (direct & indirect), statutory audits, and financial reporting standards.
- Proven experience across FP&A, treasury, and cash flow management.
- Hands-on with accounting ERP systems and advanced Excel / financial modelling.
- Proven experience raising working capital and term debt from banks – owning the process end to end, from lender pitch and negotiation through to drawdown and ongoing relationship management.
- A data-driven mindset with a sharp eye for accuracy, process gaps, and improvement opportunities.
- Excellent communication skills, with the ability to distil complex financial data for non-finance stakeholders.
Soft Skills:
- Extreme ownership – you're comfortable operating with autonomy and high accountability.
- You thrive in a fast-paced, ambiguous, 0-to-1 environment and prefer building over maintaining.
- You care about getting the details right, and you enjoy working across functions to do it.