Manager FP&A

Neara

Chennai District

On-site

INR 1,200,000 - 2,400,000

Full time

11 days ago

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Job summary

Neara is seeking a Manager FP&A to lead monthly reporting, consolidations, and MIS across geographies. You will own multi-entity reporting, oversee FX impact, and drive process improvements using NetSuite.

The role requires CA with 5+ years in accounting and consolidation, strong Excel and analytical mindset, and the ability to work with diverse teams in a fast-growing, on-site environment in India.

Qualifications

  • Chartered Accountant with 5+ years of experience in accounting, reporting or consolidation.
  • Hands-on NetSuite experience (preferred).
  • Strong Excel skills with advanced formulas and pivot tables.
  • Experience handling multi-currency environments.
  • Experience in consolidations across geographies is a plus.

Responsibilities

  • Prepare monthly management reports including consolidated P&L, Balance Sheet, and cash flow.
  • Deliver structured variance analysis (budget vs actuals, country-wise and product-wise performance).
  • Support preparation of investor and leadership reporting packs.
  • Track key business metrics relevant to EOR operations (headcount, payroll cost, FX impact, margins).
  • Coordinate with local accounting teams for reporting alignment.
  • Prepare and maintain detailed balance sheet schedules.
  • Support statutory audit and investor due diligence requirements.
  • Strengthen financial controls in a scaling environment.
  • Work extensively on NetSuite for reporting and consolidation.

Skills

Excel advanced
Consolidation experience
Multi-entity reporting
Financial analysis
FX and currency handling

Education

Chartered Accountant

Tools

NetSuite

Job description

Manager FP&A

Job type: Full Time · Department: FP&A · Work type: On-Site

Bengaluru, Karnataka, India; Chennai, Tamil Nadu, India

Multiplier is a global employment platform headquartered in Singapore. It helps companies employ talent without the hassle of opening an entity/office in 150+ countries and also not worry about payroll/benefits/compliance etc of the employees. Companies find the talent and Multiplier will help them with all aspects of employment either for locals or expat s.

Multiplier enables companies to employ anyone, anywhere in a few clicks. Our SaaS platform combines the multi-local complexities of hiring & paying employees anywhere in the world, and automates everything. We are passionate about creating a world where people can get a job they love, without having to leave the people they love.

With the new trends of remote working, Multiplier will play an important role in growing your business globally. Global Talent is no more a problem with Multiplier coming into picture .

Everyday is an exciting one at Multiplier right now because we are figuring out a real problem in the market and building a first-of-its-kind product around it. We are looking for smart and talented people who will add on to our collective energy and share the same excitement in making Multiplier a big deal.

Role

We are a fast-growing global EOR platform operating across multiple countries and currencies. We are looking for a high-ownership Accountant to support financial reporting, multi-entity consolidation, and MIS in a dynamic, evolving environment.

This role requires strong accounting fundamentals, comfort with ambiguity, and the ability to bring structure to fast-moving operations. The ideal candidate will have hands-on consolidation experience and strong working knowledge of NetSuite.

Key Responsibilities
Monthly Reporting & MIS
  • Prepare monthly management reports including consolidated P&L, Balance Sheet, and cash flow

  • Deliver structured variance analysis (budget vs actuals, country-wise and product-wise performance)

  • Support preparation of investor and leadership reporting packs

  • Track key business metrics relevant to EOR operations (headcount, payroll cost, FX impact, margins)

Multi-Entity Consolidation
  • Assist in consolidation of multiple subsidiaries across geographies

  • Support FX revaluation and FCTR impact analysis

  • Coordinate with local accounting teams for reporting alignment

Schedule Preparation & Controls
  • Prepare and maintain detailed balance sheet schedules

  • Support statutory audit and investor due diligence requirements

  • Strengthen financial controls in a scaling environment

NetSuite & Process Optimization
  • Work extensively on NetSuite for reporting and consolidation

  • Generate saved searches and structured reports

  • Identify automation opportunities to reduce manual intervention

  • Support system-driven consolidation and reporting improvements

Required Qualifications
  • Chartered Accountant

  • 5+ years of experience in accounting, reporting, or consolidation

  • Strong understanding of financial statements and consolidation principles

  • Hands-on experience with NetSuite (preferred)

  • Strong Excel skills (advanced formulas, pivot tables, structured analysis)

  • Experience handling multi-currency environments

  • Strong analytical and problem-solving mindset

What We Are Looking For
  • High ownership mindset — ability to independently drive reporting cycles

  • Structured thinker who can bring clarity to complexity

  • Strong analytical capability to interpret numbers, not just prepare them

  • Comfortable working in a fast-evolving environment

  • Ability to collaborate across geographies

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