Finance Manager

Rempact

Bengaluru

On-site

INR 1,800,000 - 3,000,000

Full time

7 days ago
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Job summary

Rempact is seeking an all-rounder Finance Manager to strengthen financial operations as the company scales. You will drive FP&A, set up bookkeeping best practices, ensure compliance with Indian regulations, and support fundraising with financial modeling and due diligence coordination.

The role offers growth toward a financial controller position in 3 years, based on performance. Location is Bangalore with a 5-day work week.

Qualifications

  • 4-6 years of post-qualification experience in accounting, FP&A, budgeting and bookkeeping roles, preferably in a startup or mid-sized organisation.
  • Expertise in Indian taxation, statutory compliance, treasury, and financial reporting.
  • Proven track record in strengthening controls and monitoring budgets and financial models.

Responsibilities

  • Lead FP&A and drive financial planning and analysis.
  • Oversee end-to-end accounting for the India entity in compliance with local requirements.
  • Ensure timely monthly, quarterly, and annual financial reporting to founders and investors.
  • Support budgeting and forecasting processes and provide financial insights.
  • Manage treasury and working capital, cash flow, and vendor payments.
  • Ensure compliance, internal controls, and coordination with auditors and tax advisors.

Skills

Analytical skills
Stakeholder management
Communication skills

Education

CA (preferred)
B.Com/BBA

Tools

Microsoft Excel

Job description

Role Overview

We are looking for an all-rounder Finance Manager to play a pivotal role in strengthening our financial operations as we scale. The role will involve driving financial planning and analysis (FP&A), setting up bookkeeping and accounting best practices, ensuring robust compliance and governance with respect to statutory filings and supporting the founders with decision-making. The candidate will also be keenly involved in the fundraising process with support on financial modeling, due diligence coordination and compliance. The ideal candidate will bring a balance of accounting rigour and agility, helping build processes that support growth while maintaining financial discipline in a fast-evolving deep-tech environment. This is a role that will fast-track the candidate for a financial controller role in 3 years, subject to performance.

Position: Finance Manager

Location: Bangalore

Working Days: 5 (Mon-Fri)

Experience Required: 4-6 Years

Role Overview

We are looking for an all-rounder Finance Manager to play a pivotal role in strengthening our financial operations as we scale. The role will involve driving financial planning and analysis (FP&A), setting up bookkeeping and accounting best practices, ensuring robust compliance and governance with respect to statutory filings and supporting the founders with decision-making. The candidate will also be keenly involved in the fundraising process with support on financial modeling, due diligence coordination and compliance. The ideal candidate will bring a balance of accounting rigour and agility, helping build processes that support growth while maintaining financial discipline in a fast-evolving deep-tech environment. This is a role that will fast-track the candidate for a financial controller role in 3 years, subject to performance.

Key Responsibilities
  • Financial Planning and Analysis (FP&A)
  • Lead end-to-end accounting operations for the India entity in compliance with local statutory requirements and policies.
  • Ensure timely monthly, quarterly, and annual financial reporting to founders and investors.
  • Undertake financial statement planning & preparation - ensure accuracy, completeness, and integrity of data.
  • Monitor financial performance, analyze variances, and provide actionable insights to management.
  • Budgeting, Forecasting & Business Partnering
  • Support the annual budgeting and periodic forecasting processes.
  • Track business performance against budget and support leadership with financial insights and scenario analysis.
  • Partner with engineering teams to support purchase related decision-making, pricing considerations, and cost optimization.
  • Support strategic initiatives and growth plans with financial modelling and analysis.
  • Treasury & Working Capital Management
  • Oversee treasury operations including cash flow management, banking relationships, and liquidity planning.
  • Ensure appropriate financial controls over payments, collections, and vendor management.
  • Compliance, Controls & Governance
  • Ensure full compliance with Indian statutory and tax regulations (Corporate Tax, GST, TDS, PF, and other local laws).
  • Strengthen and maintain internal controls in line with best practices.
  • Manage relationships with external auditors, tax advisors, and regulatory authorities.
  • Support internal audits and ensure timely remediation of findings.
Qualifications & Experience
  • Qualified CA (preferred) with B.Com or BBA degree
  • 4-6 years of post qualification experience in accounting, FP&A, budgeting and bookkeeping roles, preferably in a startup or mid-sized organisations
  • Expertise in Indian taxation, statutory compliance, treasury, and financial reporting.
  • Proven track record in strengthening controls and monitoring budgets and financial models.
Key Competencies
  • Strong analytical, excel and problem-solving skills.
  • Highest integrity and attention to detail.
  • Ability to operate independently while collaborating cross-functionally.
  • Strong stakeholder management and communication skills.
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