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Manager - Financial Reporting & Consolidation

Job type: Full Time · Department: Finance · Work type: On-Site

Bengaluru, Karnataka, India

About Goodera

Goodera is the world’s leading employee volunteering platform, powering companies to scale employee volunteering experiences globally through our innovative technology platform and unique operating model. With a presence in over 100 countries and support for 30+ languages, we connect over 500 clients—including 60+ Fortune 500 companies—with meaningful volunteer opportunities tailored to their communities. To date, our impact has reached over 10 million beneficiaries, powered by 1 million+ employee volunteers and a network of 50,000+ nonprofit partners. Growing at 100% year on year, we are backed by top investors including Zoom Ventures, Elevation Capital, Nexus  Venture Partners, Omidyar Network, and Ursula Burns.

About The Role

BLR | 5 Days | WFO

As the custodian of our group financial statements, you will own the preparation and

consolidation of financials across all our entities in India and the US, ensure compliance with

Ind-AS, and be the primary partner to our statutory auditors.

Responsibilities

• Prepare standalone and consolidated financial statements (Balance Sheet, P&L, Cash

Flow) under Ind-AS across all group entities, including intercompany eliminations and

currency translation.

• Maintain the US entity's books and align them for consolidation into the group's Ind-AS

financials.

• Own technical accounting — draft memos on revenue recognition, leases, financial

instruments, share-based payments (ESOP) and other complex transactions, and

assess the impact of new pronouncements.

• Be the primary point of contact for statutory auditors across all entities: manage the

audit calendar, schedules and queries, and drive timely sign-off, coordinating the US

audit with our external advisors.

• Prepare financial notes, disclosures and reporting packs for the Board and leadership.

• Support financial information and disclosures for the company's growth and capital-

markets readiness.

Requirements

• Chartered Accountant (CA), qualified.

• 5–7 years of post-qualification experience in corporate financial reporting or Big 4/6

statutory audit.

• Deep, hands-on expertise in Ind-AS and Schedule III of the Companies Act.

• Demonstrated experience preparing consolidated financial statements across multiple

entities.

• Strong ERP skills (SAP / Oracle / NetSuite) and advanced Excel.

Bonus Points

• Exposure to US GAAP or multi-jurisdiction reporting.

• Experience in a high-growth or pre-IPO environment.

Why This Role

You will join a small, senior finance team where your work is visible, your ownership is real,

and you will help shape the function as the company scales toward an IPO.

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