Finance Manager

3 Weeks ago • 8-12 Years • Account Management • Finance

Job Summary

Job Description

This role requires a Finance Manager with 8-12 years of experience to manage all aspects of accounting, compliance, and audits in India. Responsibilities include developing and maintaining financial statements, implementing internal financial policies, ensuring statutory compliance (Income Tax, etc.), managing cash flow and preparing forecasts, and overseeing asset acquisition. The position involves managing a team, conducting performance reviews, and improving processes. Strong communication skills, ability to work under pressure, and proficiency in accounting ERP software (like Microsoft D365 or MS Axapta) are essential. The role will also assist the Studio Head in managing the studio's P&L and provide financial insights to achieve profitability targets. Regular reporting and collaboration with FP&A teams are also expected.
Must have:
  • End-to-end accounting experience
  • Knowledge of Indian accounting rules & taxes
  • Financial statement preparation & reporting
  • Team management & performance reviews
  • Proficiency in accounting ERP software (Microsoft D365/MS Axapta preferred)
  • Cash flow management & forecasting
Perks:
  • Competitive basic salary
  • Opportunity to join a growing team
  • Dynamic and entrepreneurial culture

Job Details

Description

Finance Management:

· Should have hands-on experience in end-to-end accounting activities and book closures.

· Knowledge of the local accounting rules, regulations, and taxes in India is a must.

· Manage and oversee the accounting, compliance, and audits in India.

· Develop and maintain timely and accurate financial statements and reports that are appropriate for the users and in accordance with generally accepted accounting principles (local GAAP/IFRS).

· Participate in the development of internal financial and accounting policies and procedures. Implement, and ensure compliance with internal financial and accounting policies and procedures laid out

· Ensure that all statutory requirements of the organization (Income Tax, etc.), are met and that financial information is secure and stored in compliance with current legislation

· Prepare all supporting information for the annual audit and liaise with the external auditors as necessary

· Develop and maintain financial accounting systems for cash management, accounts payable, accounts receivable, credit control and petty cash. Ensure that all transactions are appropriately supported, approved and authorized

· Have regular meetings with the team and improve the processes, turnaround time etc.

· Assist the Studio Head in efficiently managing the studio P&L and provide relevant financial insight to help achieve the studio’s profitability targets

· Manage the cash flow and prepare cash flow forecasts in accordance with policy. Ensure that the cash needs of the company are maintained.

· Manage the acquisition of capital assets and ensure that assets are properly recorded, amortized, and disposed of as appropriate

· Good Communicator, “Make It Happen” attitude, and should be ready to work under pressure and long hours based on the business requirements

People Management and Development:

· To effectively manage the performance of one or two team members by carrying out progress reviews and ensuring objectives and key outputs are effectively communicated throughout the department.

· Have a good working relationship with the team and other departments.

· Communicate effectively with the team on a regular basis ensuring information is clear, accurate, and timely.

· Encouraging team participation in the way information is relayed to and from the departments.

MIS and Reporting:

· Maintain financial records for each site / Line of Business in a manner that facilitates Management reports.

· Assist FP&A teams with the preparation of budgets by providing relevant information on a regular basis.

· Provide accurate and timely reporting on the financial activity of individual departments .

Requirements

Proficiency in the use of computer programs for:

· Accounting ERP like Microsoft D365, MS Axapta will be a plus

· Good knowledge of MS Office (Excel, PowerPoint, Word) in general and Excel in particular

Qualifications:

Experience Range: 8 - 12 Years.

Professional Qualification: Chartered Accountant(CA Final)

Benefits

• Competitive basic salary

• The opportunity to join a growing team

• Dynamic and entrepreneurial culture

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About The Company

We’re a global team of passionate, hard-working, ambitious gamers, whose goal is always to make every gamer's experience as perfect as possible. We’re dedicated to helping your players, because they’re part of our community too. We’ve been working hard for players, clients, and the games industry for over 30 years, providing industry-leading services to every part of the globe.


We believe great work gets done by teams who love what they do. This is why we approach every solution with an all-minds-on-deck strategy that leverages our global workforce's strength, creativity, and passion. 

8,500+ passionate gamers

650+ top developers and publishers as clients

5.3 million hours QA testing

7 year average client partner tenure

2,500+ LQA titles


PTW is a boutique games services company with over 40 offices in 16 countries worldwide. Our range of services include quality assurance, localization, player support, community management, art production, game development, and audio production services.


We believe that innovation comes in all sizes, which is why we take on projects of any size and love crafting a custom solution, no matter the scale. 


PTW, comprised of global subsidiaries, is a UK-based holding company formed in 2016 under the umbrella of Poletowin Holdings, Inc. which is listed on the 1st Section of Tokyo Stock Exchange as 3657. 


The PTW family of brands includes SIDE, 1518 Studios and Entalize

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