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Full time
Finance

Head Finance Account

One75mb HRM Pvt Ltd.Mumbai, MaharashtraIndiaPosted 26 Jul 2026

Quick Overview

Work Type
Hybrid
Schedule
Full Time
Level
Mid Senior

Job Description

Role: Head - Finance & Accounts

Job Location: Kanjurmarg, Central Mumbai (Primary) & Marine Drive, South Mumbai (Occasional travel as per business requirements)


The Role: As the Head - Finance & Accounts : you will lead the Finance & Accounts function across both brands, ensuring financial discipline, statutory compliance, governance, and operational excellence. You will work closely with the Founder and leadership team to drive strategic decision-making, optimize business performance, strengthen financial controls, and build scalable financial processes that support long-term growth.


What would you be required to do?

• Lead the Finance & Accounts function , providing strategic financial leadership and supporting key business decisions.

• Manage, mentor, and develop the Finance & Accounts team, ensuring timely and accurate execution of accounting operations, accounts payable, accounts receivable, petty cash, employee reimbursements, vendor payments, banking transactions, reconciliations, statutory filings, and financial reporting.

• Oversee budgeting, financial planning, forecasting, treasury, cash flow management, working capital, and fund allocation across both businesses.

• Prepare and review monthly MIS reports, financial statements, cash flow reports, Revenue, EBITDA, Gross Margin, Net Margin, Overheads, and variance analysis to provide meaningful business insights.

• Ensure timely monthly, quarterly, and annual financial closing, along with accurate maintenance of books of accounts.

• Establish and strengthen accounting policies, internal financial controls, governance frameworks, SOPs, and financial reporting processes.

• Partner with Sales, Procurement, Operations, HR, and other business functions to improve profitability, optimize costs, and enhance commercial decision-making.

• Oversee direct and indirect taxation, including GST, TDS, Income Tax, advance tax, statutory returns, annual filings, reconciliations, assessments, and related compliances.

• Review and approve payroll in coordination with the HR team, ensuring accurate salary processing, statutory deductions, Full & Final settlements, reimbursements, and effective management of the payroll partner.

• Ensure timely compliance with all statutory, regulatory, financial, labour, and corporate requirements, including GST, Income Tax, TDS, PF, ESIC, Professional Tax, ROC, Shops & Establishments, Labour Welfare Fund, and other applicable registrations, renewals, licenses and filings.

• Coordinate with Company Secretaries, Chartered Accountants, auditors, legal advisors, banks, consultants, and regulatory authorities on financial, statutory and corporate matters. • Lead statutory, internal, tax, and other financial audits while ensuring timely closure of audit observations and implementation of corrective actions.

• Manage banking relationships, collections, vendor payments, liquidity planning, and monthly reconciliation of intercompany transactions and balances.

• Oversee all business insurance policies, including Group Mediclaim, Marine Insurance, Directors & Officers (D&O) Liability Insurance, Fire & Asset Insurance, Workmen Compensation Insurance, Professional Indemnity Insurance, and other business-related insurance policies, ensuring timely renewals, claims management and adequate coverage.

• Maintain accurate financial, statutory, insurance, and legal documentation while driving continuous improvements in financial systems, governance, and operational efficiency.

• Lead strategic finance initiatives and support finance-related activities across affiliated entities, business verticals, and special projects as assigned by the Founder and leadership team.

What skills we are looking for?

Qualifications & Experience • Chartered Accountant (CA) with 10-15 years of post-qualification experience, including at least 3-5 years in a leadership role.

• Proven experience in Commercial Finance, Financial Planning & Analysis (FP&A), P&L management, budgeting, forecasting, treasury, cash flow management, and working capital.

• Strong experience in accounting, taxation, statutory compliance, audits, financial reporting, and corporate governance.

• Experience in coordinating with Company Secretaries (CS), auditors, legal advisors, banks, and regulatory authorities.

• Prior experience in project-based industries such as Interior Design, Construction, Real Estate, Manufacturing, EPC, or similar sectors will be preferred.

• Experience working in a startup or high-growth organization will be an added advantage. Skills & Qualities • Strong working knowledge of Tally Prime, Microsoft Excel, and financial reporting tools. • Strong analytical, commercial, and strategic thinking abilities.

• Excellent leadership, stakeholder management, communication, negotiation, and decision-making skills.

• Ability to build scalable financial processes, strengthen governance, and drive continuous improvements. Personality -

What this role requires


• High ownership and accountability.

• Integrity and strong ethical standards.

• Business-oriented mindset with attention to detail.

• Ability to thrive in a fast-paced, entrepreneurial environment.

• Strong problem-solving skills with a collaborative and hands-on approach.

• Calm under pressure with the ability to manage multiple priorities effectively.


Work Timings: • Monday to Friday: 9:30 AM - 6:30 PM • Saturday: 9:30 AM - 3:30 PM (Half Day)


HR Name-Khushi Saifi -

Skills

Accounts Payable
Accounts Receivable
Budgeting
Cash Flow Management
FP&A
Financial Reporting
Forecasting
Microsoft Excel
Reconciliation
Stakeholder Management
Treasury
Variance Analysis

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