
Finance Manager [IC]
FarmwiseAI
Posted 2026-06-01
INR 5 - INR 7 per year
Corporate & Support
Job Description
Ovii's Interpretation of the Role
We need a Finance Manager (individual contributor) with 5‑9 years of experience to own end‑to‑end finance, accounting, compliance, audit, treasury and reporting functions for a high‑growth tech organization.
Role Snapshot
- Own full‑cycle finance & accounting operations
- Lead month/quarter/year‑end book closures
- Manage GST, TDS & statutory compliance
- Coordinate internal, statutory and tax audits
- Oversee cash flow, working capital and treasury
- Drive budgeting, forecasting and variance analysis
- Establish internal controls and financial governance
- Partner with business stakeholders
Must-Have Requirements
- Financial Accounting
- End‑to‑End Book Closure
- GST Compliance
- TDS Compliance
- Statutory Compliance
- Financial Reporting & MIS
- Audit Management
- Cash Flow Management
- Budgeting & Forecasting
- General Ledger Management
- Account Reconciliations
- Internal Controls
- Taxation
- Advanced MS Excel
- ERP/Accounting Systems
- Finance and Accounting operations
- Statutory compliance and audit management
- Cash flow and treasury management
- CA / CMA / MBA Finance / M.Com or equivalent
- Candidates with more than 10 years of experience will not be considered
Nice-to-Have Signals
- Experience in high‑growth startup/technology environment
- High‑growth startup or technology services environment
Work Setup
- Location: Chennai, India
- Work mode: ONSITE
- Employment type: Full-Time
Not Specified in JD
- Visa sponsorship
- Salary range
- Remote eligibility
- Notice period
- Travel
- Security clearance
- Coding test
- Portfolio
- GitHub
What You'll Likely Work On
- Manage all finance and accounting processes, ensuring accurate records and timely closures.
- Ensure compliance with GST, TDS, income tax, professional tax and other statutory requirements.
- Lead statutory, internal and tax audits and coordinate with auditors and regulators.
- Handle cash flow, working capital, treasury operations and banking relationships.
- Drive budgeting, forecasting, variance analysis and support business planning.
- Build and maintain internal controls, financial governance and compliance frameworks.
- Identify and implement process improvements and automation opportunities.
Good Fit If You Have
- Experience in a high‑growth startup or technology services environment.
- Professional qualification such as CA, CMA, MBA Finance or M.Com.
- Strong analytical, problem‑solving and stakeholder‑management abilities.
Skills
- Financial Accounting
- End‑to‑End Book Closure
- GST & TDS Compliance
- Statutory Compliance
- Financial Reporting & MIS
- Audit Management
- Cash Flow Management
- Budgeting & Forecasting
- General Ledger Management
- Account Reconciliations
- Internal Controls
- Taxation