
Job Description
Ovii's Interpretation of the Role
The Finance Manager will support global treasury and tax functions, handling cash flow, liquidity, FX, and compliance while preparing accurate financial reports. This entry‑level role offers direct exposure to cross‑border finance and mentorship from senior leadership.
Role Snapshot
- Manage daily cash positions across global accounts
- Assist liquidity forecasting and planning
- Execute intercompany fund transfers and FX transactions
- Support tax filing (TDS, GST, Income Tax) and compliance
- Prepare treasury, tax and ad‑hoc management reports
- Perform bank and tax ledger reconciliations
- Assist statutory and internal audit processes
- Collaborate with internal and external stakeholders
Must-Have Requirements
- Chartered Accountant qualification
- Strong grasp of Income Tax Act, GST, basic accounting principles (Ind‑AS/IFRS)
- Proficiency in Microsoft Excel (VLOOKUP, Pivot Tables)
- High attention to detail
- Strong analytical mindset
- audit
- tax
- finance operations
- Chartered Accountant (CA) – Qualified
- Chartered Accountant (CA)
Nice-to-Have Signals
- Familiarity with ERP systems (Tally, SAP, Oracle)
Work Setup
- Location: Bengaluru, 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
- Writing sample
- Cover letter
What You'll Likely Work On
- Monitor daily cash positions across multiple global bank accounts and subsidiaries
- Assist in forecasting cash requirements to maintain optimal liquidity
- Execute intercompany fund transfers and coordinate FX transactions in line with regulatory guidelines
- Serve as point of contact for routine banking operations, documentation, and KYC compliance
- Prepare and file routine tax returns (TDS, GST, Income Tax) within statutory timelines
- Maintain a tracker for tax compliance deadlines and ensure 100% adherence
- Organize tax documentation, support schedules, and audit trails for internal and external reviews
- Prepare monthly/quarterly treasury, tax and ad‑hoc reports for management
Good Fit If You Have
- Recently qualified Chartered Accountant (CA)
- Eagerness to learn in a fast‑paced environment
- Strong communication and collaborative mindset
- Ability to handle large data volumes with high accuracy
Skills
- Cash management & liquidity planning
- Foreign exchange processing
- Tax compliance (TDS, GST, Income Tax)
- Financial reporting & MIS
- Advanced Microsoft Excel (VLOOKUP, Pivot Tables)
- ERP/accounting software (Tally, SAP, Oracle) – preferred
- Analytical data analysis
- Stakeholder management
- Attention to detail