Live opening · Posted 8 hours ago

Finance Manager

SatSure · Bengaluru East, Karnataka, India (On-site)
Linkedin No
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At a glance

The key details from the original listing.

Posted 8 hours ago
CompanySatSure
LocationBengaluru East, Karnataka, India (On-site)
Work modeNo
SourceLinkedin
ListedPosted 8 hours ago

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About the role

Description supplied by the original job listing.

Looking for a Finance Manager to lead end-to-end financial controllership, accounting, reporting, treasury, taxation, compliance, and business finance activities. The role will oversee financial close, consolidation, MIS, cash flow, investor reporting, fundraising support, audits, and finance process automation.
About SatSure
SatSure is a deep-tech decision intelligence company operating at the nexus of agriculture, infrastructure, and climate action. We turn earth observation data into actionable insights for governments, financial institutions, and enterprises across the developing world — at scale, with reliability.
Role Overview
We are looking for a Finance Manager to lead the company's financial controllership, accounting, reporting, treasury, taxation, compliance and business finance activities.
The role will have end-to-end responsibility for financial close, consolidation of multiple entities, MIS, cash-flow management, investor reporting, fundraising support, statutory compliance, audit management and finance-process automation.
The ideal candidate should be comfortable working in a fast-paced technology/start-up environment and should be capable of independently managing senior stakeholders, auditors, investors, banks, tax advisors and cross-functional teams.
Role And Responsibilities
Financial Controllership & Reporting
Manage monthly, quarterly and annual financial close and reporting.
Ensure accuracy of P&L, Balance Sheet, Cash Flow and financial schedules.
Review accounting entries, provisions, accruals, revenue recognition and reconciliations.
Ensure compliance with applicable accounting standards and company policies.
Consolidation & Subsidiaries
Manage consolidation of Indian and overseas subsidiaries.
Review inter-company transactions, balances and eliminations.
Coordinate with subsidiary finance teams for timely closing and reporting.
Prepare consolidated financial statements and supporting schedules.
Zoho Books & Finance Systems
Own accounting operations and controls in Zoho Books.
Ensure proper chart of accounts, transaction recording, reconciliations and reporting.
Drive automation of accounting, invoicing, collections, vendor payments and reporting.
Identify opportunities to improve finance processes through technology and automation.
MIS, Budgeting & Business Finance
Prepare monthly MIS, management dashboards and financial analysis.
Track revenue, expenses, margins, budgets and key business KPIs.
Support annual budgeting, forecasting and variance analysis.
Provide financial insights to management for business decisions.
Cash Flow & Treasury
Own short-term and long-term cash-flow planning and forecasting.
Monitor collections, vendor payments, payroll and other major cash requirements.
Manage working capital and ensure optimal utilisation of available funds.
Coordinate with banks on banking operations, facilities, BGs and other treasury matters.
Investor Reporting & Fundraising
Prepare financial information and MIS for investors, lenders and the Board.
Support fundraising, due diligence, valuation and financial data-room requirements.
Coordinate with investors, lenders, advisors and internal teams for financial information.
Ensure consistency and accuracy of financial data shared externally.
GST, Tax & Compliance
Oversee GST, TDS and other direct/indirect tax compliances.
Review GST returns, reconciliations, notices and tax assessments.
Ensure timely statutory filings and maintain appropriate documentation.
Coordinate with tax advisors and consultants on tax matters.
Audit & Due Diligence
Lead coordination with statutory auditors, internal auditors and other advisors.
Ensure timely closure of audit requirements and observations.
Prepare audit schedules, financial workings and supporting documentation.
Support investor, lender and transaction-related due diligence.
Qualifications
CA qualified
7–12 years of relevant experience, preferably in a high-growth, technology or start-up environment.
Must Have Skills
Strong hands-on experience in Zoho Books and financial reporting.
Experience in group consolidation and subsidiary accounting.
Strong understanding of GST, taxation, audit and statutory compliance.
Experience in investor reporting, fundraising and financial due diligence.
Strong cash-flow, working-capital and MIS experience.
Advanced Excel and financial modelling skills.
Strong analytical, communication and stakeholder-management skills.
Proven experience in managing and developing finance teams.
Good communication and interpersonal skills.
Benefits
Medical Health Cover for you and your family, including unlimited online doctor consultations.
We believe family comes first. That’s why we offer Maternity, Paternity, Marriage and Bereavement Leave, so you can be there when it matters most.
We ensure every member of the team gets an opportunity to participate in international events and conferences.
Access to mental health experts for you and your family.
Dedicated allowances for learning and skill development.
Interview Process
Introductory call
Interview rounds (ideally up to 2-3 rounds)
Culture Round / HR round
No of Positions:1

Work arrangement
No

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