Job Description
Role Overview
The Finance Manager will be responsible for managing the financial health of the organization, ensuring strong investor relations, compliance, profitability tracking, and disciplined cash flow management. This role requires strategic financial planning along with hands-on execution in daily operations.
The candidate will work closely with leadership and cross-functional teams to monitor core business metrics and ensure sustainable growth.
Key Roles & Responsibilities Financial Planning & Control
- Manage and oversee the company's P&L (Profit & Loss Statement)
- Monitor margins, cost structures, and profitability analysis project-wise and overall
- Drive financial forecasting and budgeting
- Monitor financial performance, identify variances, and recommend corrective actions
Cash Flow & Working Capital Management
- Manage and optimize company cash flow and liquidity planning
- Ensure timely collections and structured vendor payouts
- Maintain sufficient working capital and manage banking relationships
Investor & Board Management
- Manage Investor Relations
- Prepare and publish regular financial reports for Board, Investors, and key stakeholders
- Present monthly/quarterly performance dashboards
- Support fundraising discussions and financial due diligence when required
ESOP & Equity Management
- Manage Employee Stock Option Plans (ESOPs)
- Maintain cap table records and vesting schedules
- Coordinate with legal and compliance teams for equity-related documentation
Vendor & Operational Finance
- Oversee and approve daily vendor payments
- Ensure accurate accounting entries and reconciliations
- Strengthen financial controls and systems
Weekly Business Reviews & Metrics Tracking
- Conduct weekly review meetings with department heads
- Track core metrics including revenue, margins, burn rate, collections, and project profitability
- Develop financial dashboards and MIS reporting systems
Compliance & Taxation
- Ensure full Government Compliance (ROC, GST, TDS, Income Tax, etc.)
- Oversee direct and indirect Taxation matters
- Coordinate audits and statutory filings
- Stay updated with regulatory changes
Strategic Finance Responsibilities
- Identify opportunities for cost optimization and system improvements
- Develop financial strategies aligned with company growth plans
- Support expansion and capital planning initiatives
Required Skills & Competencies
- Strong understanding of financial statements and MIS reporting
- Advanced Excel and financial modeling skills
- Strong knowledge of GST, TDS, ROC, and Indian taxation laws
- Experience handling investors or fundraising is an advantage
- Strong analytical and leadership skills
- Excellent communication and presentation abilities
Work Structure
- 6 Days Working (Monday – Saturday)
- 9:30 AM – 6:30 PM (Flexible as per business requirements)
Why Join Reminiscent Interior Design?
- High-growth environment
- Direct exposure to leadership and investors
- Opportunity to build structured finance systems
- Strategic decision-making role
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.
Job Details
Posted Date:
February 26, 2026
Job Type:
Finance and Insurance
Location:
India
Company:
Reminiscent Interior Design
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.