Finance & Reporting Manager

Paytm

United States

On-site

USD 103,000 - 171,000

Full time

14 days+
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Job summary

Paytm Europe seeks a Finance & Reporting Manager to support the CFO in building and managing the core finance function. You will oversee accounting, statutory reporting, tax, treasury, and management reporting in a regulated, fast-growing payments business.

The role is hands-on, requiring ownership and close collaboration with external fiduciaire and auditors to implement robust controls, policies, and systems to sustain growth.

Qualifications

  • Strong knowledge of Lux GAAP and IFRS reporting.
  • Experience with statutory accounts and external audits.
  • Ability to operate in a regulated, fast-growing environment.
  • Excellent stakeholder communication with CFO and Board.

Responsibilities

  • End-to-end accounting cycle management, including GL, AP/AR, fixed assets, accruals, and reconciliations.
  • Coordinate regulatory reporting to CSSF and other authorities; support client funds controls.
  • Manage monthly, quarterly, and annual close processes with timely, accurate outputs.
  • Prepare financial statements under Lux GAAP and assist IFRS group reporting where applicable.
  • Oversee external fiduciaire and accounting service providers; prepare statutory accounts.

Skills

Financial reporting
Accounting
Tax compliance
Treasury management
IFRS knowledge
Regulatory reporting
Audit coordination
Budgeting & forecasting
Process improvement

Education

Bachelor's degree in Finance or Accounting

Tools

SAP
ERP systems
IFRS software

Job description

Role Purpose

The Finance & Reporting Manager will support the CFO in building and managing Paytm Europe's core finance function, with responsibility for financial accounting, statutory and regulatory reporting, tax, treasury, and management information. This is a hands-on role requiring strong ownership and the ability to operate effectively in a lean, regulated, and fast-growing business.

Key Responsibilities
Accounting & Financial Reporting
  • -Manage the end-to-end accounting cycle, including general ledger, accounts payable and receivable, fixed assets, accruals, provisions, and balance sheet reconciliations
  • -Review accounting entries and reconciliations to ensure the accuracy, completeness, and integrity of the Company's financial records
  • -Manage monthly, quarterly, and annual close processes, ensuring accurate and timely completion
  • -Prepare and review financial statements under Lux GAAP and support Group reporting under IFRS, where applicable
  • -Oversee the work of the external fiduciaire and other accounting service providers, including preparation of statutory accounts and supporting schedules
Regulatory Reporting & Financial Controls
  • -Coordinate Finance-owned regulatory and prudential reporting to the CSSF and other relevant authorities, including own-funds and applicable financial returns
  • -Support the Finance aspects of safeguarding and related reporting and controls concerning client funds, working closely with the Payments Finance & Reconciliation Manager and relevant control functions
  • -Develop, implement, and maintain financial policies, controls, and procedures appropriate to a regulated Payment Institution
  • -Ensure appropriate segregation of duties, approval authorities, and financial controls are embedded across Finance processes
  • -Work closely with Compliance, Risk, Internal Controls, and other functions to ensure Finance meets its regulatory responsibilities
Audit
  • -Act as the principal Finance point of contact for external auditors and coordinate the annual statutory audit
  • -Prepare and maintain audit files, supporting schedules, and other financial evidence required for audit and assurance activities
  • -Coordinate Finance support for internal audit reviews and ensure agreed Finance-related remediation actions are implemented
Tax
  • -Manage corporate income tax, VAT, withholding tax, and other applicable Luxembourg tax obligations, working with external tax advisers as required
  • -Ensure tax filings and related payments are accurate and completed within required deadlines
  • -Monitor relevant changes in Luxembourg tax and regulatory requirements and assess their financial implications for the Company
Banking, Treasury & Liquidity
  • -Manage day-to-day banking relationships and Finance activities relating to the Company's bank accounts
  • -Monitor cash positions and maintain cash-flow and liquidity forecasts to ensure appropriate funding of the business
  • -Support the CFO in treasury, funding, and liquidity management decisions
  • -Maintain appropriate controls over the Company's own funds and banking activities
Budgeting, Forecasting & Management Information
  • -Lead the preparation and ongoing management of budgets, forecasts, and financial models
  • -Prepare monthly management information and financial reporting for the CFO, senior management, and Board
  • -Monitor financial performance against budget and forecast, providing clear variance analysis and commentary
  • -Develop financial analysis and insights to support commercial and strategic decision-making
  • -Support the CFO in monitoring the Company's financial performance, cost base, and overall financial plan
Finance Processes, Systems & Business Support
  • -Establish and document scalable Finance processes, controls, and SOPs appropriate to the Company's stage of development and growth
  • -Identify and implement opportunities to automate and improve accounting, reporting, and other Finance operations
  • -Support the selection, implementation, and ongoing development of accounting, ERP, and other Finance-related systems
  • -Provide Finance input into new products, commercial initiatives, system implementations, and other cross-functional projects
  • -Work collaboratively across the business and with Group Finance to ensure the Finance function supports the Company's growth while maintaining appropriate financial discipline and control
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