Finance Manager

MishiPay

Bengaluru

On-site

INR 1,800,000 - 2,800,000

Full time

14 days+

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Benefits offered by this job

Competitive compensation
Global finance exposure
Ownership and growth opportunities
Entrepreneurial work environment

Job summary

MishiPay is seeking a commercially minded Finance Manager (CA from a Top 4 practice) to lead the finance function across multiple jurisdictions. Based in Bengaluru with potential relocation to Dubai, you will oversee financial reporting, budgeting, treasury, tax, audits and strategic finance initiatives, partnering with senior leadership.

You will drive month-end processes, manage cross-border payroll, ensure regulatory compliance, and develop financial models to support growth in a fast-moving

Qualifications

  • Qualified CA from a Top 4 audit practice.
  • Experience with SaaS, tech, or high-growth firms.
  • Strong knowledge of reporting, budgeting, forecasting, and cash flow.
  • Experience with statutory audits and tax compliance.
  • Experience with international finance operations is a plus.

Responsibilities

  • Own month-end and year-end close across multiple entities.
  • Prepare management accounts and financial reports for senior leadership.
  • Ensure accurate bookkeeping and accounting compliance.
  • Manage cash flow projections, budgets, and forecasts.
  • Oversee payroll and accounts payable/receivable across countries.
  • Collaborate with Operations, Commercial, Product, and Legal teams on financial matters.

Skills

Financial reporting
Budgeting
Forecasting
Cash flow management
Analytical skills

Education

CA (Chartered Accountant) from a Top 4 audit practice

Tools

Xero
NetSuite
SAP

Job description

Bengaluru, India, with potential to move to Dubai

Competitive salary plus 20% bonus

You MUST be a qualified CA from a Top-tier Accountancy Practice

About MishiPay

iPay is an international, leading checkout technology company that empowers shoppers to checkout in-store using either self-checkout via their own smartphones, or using MishiPay's industry leading, minimalist, low cap-ex kiosks. We are creating an enjoyable and convenient in-store shopping experience for leading retailers globally.

MishiPay now also runs Mobile POS, Click and Collect and Cash registers, so that merchants, who initially start with our self-checkout, can eventually run their whole store checkout process on MishiPay. With our technology, retailers have proven reductions in cost, due to requiring fewer cashiers, a marked increase in sales due to improved basket sizes, higher frequency of shopper visits and reduction in abandoned baskets, and in addition, all our retailers can access rich and priceless data about their customers. This enables a much better understanding of the customer journey in their bricks and mortar stores.

As we continue to expand internationally, we are looking for a top-tier qualified (CA from a Top 4 practice) Finance Manager to join our growing finance team and play a key role in supporting our global operations.

About the Role

We are looking for a commercially minded and hands‑on Finance Manager who can take ownership of the Company's finance function across multiple jurisdictions. The role offers broad exposure to financial reporting, budgeting, treasury, compliance, payroll, fundraising support, tax, audits, and strategic finance initiatives.

This is an excellent opportunity for a top‑tier qualified CA who is either

  • Looking for their first Accounting role outside of their practice experience (PWC, Deloitte, KPMG or EY)
  • A qualified CA (Top 4) with around 2 years of Accounting experience in industry wanting to progress within a fast‑paced scale‑up or start‑up.

You will be someone who enjoys working in a fast‑paced, high‑growth technology business, who wants to work closely with senior leadership on international finance operations. It’s essential that you’re fluent in English, flexible and committed to personal and business growth.

This is a rare opportunity to gain broad exposure to a variety of responsibilities including strategic and commercial Finance tasks. You will work in a highly talented and driven team, and we expect you to progress within our Finance team.

Key Responsibilities
  • Own the month‑end and year‑end close process across multiple entities.
  • Prepare management accounts and financial reports for senior leadership.
  • Ensure accurate bookkeeping and compliance with accounting standards.
  • Review balance sheet reconciliations and maintain strong financial controls.
  • Prepare budgets, forecasts, and cash flow projections.
  • Monitor business performance against budgets and provide actionable insights.
  • Support board reporting and investor reporting.
  • Develop financial models to support strategic decision‑making.
Treasury & Banking
  • Manage banking relationships across multiple countries.
  • Monitor cash flow and optimise working capital.
  • Oversee domestic and international payments.
  • Support fundraising activities, financial due diligence, and banking documentation.
Tax & Compliance
  • Coordinate statutory audits across different jurisdictions.
  • Manage corporation tax, VAT/GST, payroll taxes, and regulatory filings.
  • Work with external advisors on international tax matters.
  • Support R&D tax credit claims and other government incentive programmes.
Payroll & Finance Operations
  • Oversee payroll across multiple countries.
  • Manage finance processes including accounts payable, accounts receivable, and expense management.
  • Drive process improvements and automation initiatives.
Cross‑functional Collaboration
  • Partner with Operations, Commercial, Product, and Legal teams on financial matters.
  • Support contract reviews from a commercial finance perspective.
  • Coordinate with external auditors, tax advisors, legal counsel, and banking partners.
Requirements
  • Qualified CA from a Top 4 Audit practice.
  • Experience working with SaaS, technology, or high‑growth companies, either audit or internally, is preferred.
  • Strong knowledge of financial reporting, budgeting, forecasting, and cash flow management.
  • Experience managing statutory audits and tax compliance.
  • Familiarity with international finance operations is an advantage.
  • Advanced Excel skills and experience with ERP/accounting systems such as Xero, NetSuite, SAP, or similar.
  • Excellent analytical, organisational, and communication skills.
  • Ability to work independently in a fast‑paced environment.
What We Offer
  • Opportunity to work with a rapidly growing international technology company.
  • Exposure to global finance operations and strategic projects.
  • Collaborative and entrepreneurial work environment.
  • Career growth with significant ownership and responsibility.
  • Competitive compensation and benefits.

If you're excited about building scalable finance processes and making an impact in a growing global business, we'd love to hear from you.

You may also work as Audit Senior, Audit Manager, Financial Accountant, Management Accountant, or very similar.

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