Job Description

About Company: The company operates in the insurance industry, providing risk management and coverage solutions across a range of sectors.


Job Description:


Financial Reporting & Consolidation:

  • Monthly, quarterly, and annual financial statements & MIS for India, UK, and US
  • Group consolidation under IFRS / US GAAP
  • Variance analysis vs budget and forecasts
  • Multi-currency reporting, intercompany reconciliations, eliminations
  • Ownership of GL, AP, AR, revenue recognition, reconciliations, and month-end close
  • Coordination with local finance teams across geographies

Financial Control & Governance:

  • Controllership, internal controls, and Sox-style checks
  • SOPs and accounting policies across regions
  • Revenue recognition, claim provisioning, reserving, actuarial coordination
  • Controls over payments, treasury, and expenses

Budgeting, Forecasting & Planning:

  • Budgeting, forecasting, cash flow, and working capital management
  • Annual budgets for multiple business units
  • Financial models, profitability analysis, and performance dashboards
  • Strategic financial support to leadership

Taxation & Compliance:

  • Statutory and regulatory compliance (India, UK, US)
  • Direct and indirect tax compliance (GST, TDS, VAT, SLT, Corporate Tax)
  • Correct tax treatment for insurance transactions, claims, commissions, and investments
  • Coordination with tax and compliance consultants

Audit & Assurance:

  • External audits across India, UK, and US (standalone & consolidated)
  • Managing auditors, internal audits, and regulatory inspections
  • Closure of audit issues and implementation of recommendations

Cash Flow, Treasury & Investments:

  • Cash flow monitoring and working capital optimization
  • FX exposure management
  • Treasury operations with banks and institutions
  • Support CFO in board/investor reporting and fundraising due diligence

Automation & Team Management:

  • Finance process automation using ERP and insurance platforms
  • Managing and mentoring the finance team
  • Building a strong control and performance culture


Candidate Requirements:

Experience & Qualifications:

  • 5–8 years post-qualification experience
  • Minimum 2 years in a startup/high-growth company
  • CA qualification mandatory

Technical Skills

  • Indian GAAP / Ind-AS, IFRS / US GAAP
  • Insurance accounting, claim provisioning, reserving
  • Multi-currency consolidation and intercompany accounting
  • Regulatory exposure: IRDAI, FCA/PRA, IRS
  • Strong Excel/Google Sheets; ERP experience (NetSuite preferred)

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