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Salary
$13k – $30k per year (Estimated)
Location
In office (Bengaluru)
Employment
Full-Time
Overview
Company
Impact
Profile match
Signzy is an Indian company founded in 2015 that automates customer onboarding and identity verification for financial institutions. Its models verify documents, run facial matching and liveness checks and screen against watchlists so accounts can be opened in minutes. It works with a large share of Indian banks and has expanded to the United States and other markets.

Job Description: Finance Manager- Treasury and Tax Operations

Experience: 0-1 Year (Fresher / Recently Qualified CA)

About the Role

We are looking for a highly motivated, detail-oriented, and ambitious Chartered Accountant to join our Finance team. This role is ideal for a recently qualified looking to build a career in global treasury management and corporate taxation. You will play a key role in ensuring the financial health of our global operations by managing day-to-day liquidity, compliance with tax regulations, and delivering accurate financial reports. This role offers significant learning opportunities, direct exposure to cross-border financial operations, and mentorship from senior finance leadership.

Key Responsibilities

Global Treasury Operations

Cash Flow Management: Monitor daily cash positions across multiple global bank accounts and subsidiaries.

Liquidity Planning: Assist in forecasting cash requirements to ensure optimal liquidity for operational needs.

Fund Transfers & FX: Execute intercompany transfers and coordinate foreign exchange (FX) transactions in compliance with regulatory guidelines.

Bank Relations: Serve as the point of contact for routine banking operations, documentation, and KYC compliance with a strong focus on execution

Tax Filings and Compliance

Direct & Indirect Tax: Assist in the preparation and filing of routine tax returns (TDS, GST, Income Tax) within statutory timeline for all the countries.

Compliance Tracking: Maintain a tracker for all tax compliance deadlines to ensure 100% adherence to local and international tax laws.

Documentation: Organize and maintain accurate tax documentation, support schedules, and audit trails for internal and external reviews.

Financial Reporting & MIS

Routine Reporting: Prepare monthly/quarterly treasury, tax and Adhoc reports for management review.

Reconciliation: Perform periodic reconciliation of tax ledgers and bank accounts to ensure financial accuracy.

Data Analysis: Support the finance team in collecting and validating data for statutory audits and due diligence processes.

Audit Support: Assistance in statutory as well as internal audits

Qualifications and Desired Skills

Education: Chartered Accountant (CA) - Qualified.

Experience: 0-1 year of post-qualification experience in audit, tax, or finance operations.

Technical Skills:

Strong grasp of the Income Tax Act, GST, and basic accounting principles (Ind-AS/IFRS).

Proficiency in Microsoft Excel (VLOOKUP, Pivot Tables, etc.) is mandatory.

Familiarity with ERP systems (e.g., Tally, SAP, Oracle) or accounting software is a plus.

Soft Skills:

High attention to detail and a commitment to accuracy.

Strong analytical mindset with the ability to handle data volumes effectively.

Excellent communication skills and the ability to work collaboratively in a team environment.

Strong internal and external stakeholder management skills, with the ability to build relationships, manage expectations, and drive timely closure.

Eagerness to learn and adapt to dynamic, fast-paced environments.

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