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Finance & Accounts Manager

Early Applicant
  • Posted 15 days ago
  • Be among the first 10 applicants

Job Description

About the job

Job Overview

Metadome.ai is looking for an experienced Finance & Accounts Manager with 8–10 years of corporate finance experience to own our end-to-end accounting, compliance, treasury, and financial reporting functions. This is a high-ownership role where you'll play a critical part in ensuring financial discipline, statutory compliance, and investor-ready reporting while supporting a fast-growing AI and immersive technology company.

The ideal candidate will have strong expertise in corporate accounting, taxation, treasury management, financial reporting, statutory compliance, and internal controls. You should be comfortable working in a dynamic startup environment, collaborating with leadership, auditors, investors, banks, and external advisors while driving finance operations with accuracy and efficiency.

Responsibilities

Manage daily cash flow, treasury operations, and working capital to ensure optimal utilization of company funds.

• Oversee Accounts Payable (AP) and Accounts Receivable (AR), ensuring timely vendor payments, customer collections, and reconciliations.

• Monitor receivables, implement effective credit control measures, and minimize outstanding aging.

• Ensure accurate processing of GST, TDS, Professional Tax, EPF, LWF, and other statutory deductions and payments.

• Maintain complete books of accounts and ensure financial records are accurate, organized, and audit-ready.

• Prepare monthly, quarterly, and annual financial statements, MIS reports, cash flow reports, and management reports.

• Lead statutory, tax, and regulatory compliance, including GST filings, TDS returns, ROC filings, MCA compliance, annual returns, and statutory audits.

• Coordinate with statutory auditors, tax consultants, company secretaries, banks, and regulatory authorities.

• Support fundraising activities by preparing investor reports, financial models, due diligence documents, and data rooms.

• Assist leadership with budgeting, forecasting, financial planning, variance analysis, and strategic decision-making.

• Identify financial risks, strengthen internal controls, and recommend process improvements.

• Collaborate with cross-functional teams to support business operations and organizational growth.

Requirements

• 8–10 years of experience in Corporate Finance, Accounting, Financial Operations, and Compliance.

• MBA (Finance), M.Com, Inter-CA (Semi-Qualified), or equivalent postgraduate qualification.

• Strong understanding of GST, TDS, ROC, MCA, EPF, Professional Tax, LWF, and statutory compliance.

• Hands-on experience managing audits, financial reporting, tax compliance, and regulatory filings.

• Proficiency in Tally Prime, Zoho Books, NetSuite, or similar ERP platforms.

• Advanced Microsoft Excel skills with strong financial modeling and reporting capabilities.

• Experience in a SaaS, Technology, FinTech, or Startup environment is preferred.

• Strong analytical, communication, stakeholder management, and problem-solving skills.

• Ability to work independently in a fast-paced, high-growth environment.

Bonus Points

• Experience supporting investor fundraising and due diligence.

• Exposure to SaaS financial metrics and forecasting.

• Experience implementing financial controls and process automation.

• Experience working with venture-backed startups or high-growth technology companies.

Over and Above Benefits

• Medical Insurance (Self + Spouse + Parents + Kids)

• Accidental Insurance (Self)

• Employer's PF Contribution

• Gratuity (As per the Gratuity Act)

• High ownership and accelerated career growth.

• Opportunity to work with a fast-growing AI & XR technology company serving global customers.

More Info

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About Company

Job ID: 151458717

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