Found Description
We are looking for a hands-on, Finance & Accounts Manager with 8–10 years of corporate finance experience to own our end-to-end accounting, compliance, and financial reporting functions. In this role, you will manage daily cash flows, supervise robust tax and statutory compliance, and maintain institutional-grade records for management and investor review. The ideal candidate brings a strong background in tech or SaaS environments, with the agility required to thrive in a fast-paced startup ecosystem.
Key Responsibilities
1. Cash Flow & Treasury Management
- Monitor daily cash flow movements and ensure optimal allocation of corporate funds.
- Oversee and streamline the timely reconciliation of bank statements and related payment processes.
- Manage working capital efficiently to prevent liquidity bottlenecks and optimize runway.
2. Accounts Payable (AP...