Group Financial Controller
Full Time · Finance · On-Site
Bengaluru, Karnataka, India
Plum is a fast-growing insurtech company on a mission to reimagine employee health benefits for modern workforces. Backed by leading investors, Plum is known for innovation, customer-centricity, and a high-performance culture. As we scale, we are looking to hire a strong financial controller who can bring financial discipline and leadership to our finance operations.
We are looking for a qualified and experienced Group Financial Controller to lead Plum’s finance controllership function. The ideal candidate will bring a strong foundation in financial controls, tax, audits, and treasury operations—preferably from a high-growth B2B SaaS environment.
Controllership & Reporting
Own the end-to-end monthly, quarterly, and annual financial close processes
Prepare accurate financial statements in compliance with Indian GAAP and regulatory requirements
Ensure timely reporting to management and stakeholders
Audit & Compliance
Lead statutory, tax, and internal audits; act as the primary point of contact for external auditors
Ensure compliance with all applicable regulatory and tax laws (direct and indirect taxes)
Drive process improvements and strengthen internal controls
Taxation
Oversee tax filings, assessments, and reconciliations
Maintain up-to-date knowledge of changes in tax regulations and their implications on the business
Ensure timely and accurate GST, TDS, and income tax compliances
Treasury & Cash Flow Management
Manage treasury operations, optimize working capital, and ensure liquidity planning
Prepare weekly and monthly cash flow forecasts and track variances
Liaise with banking partners and manage relationships
Process and System Improvement
Drive automation and efficiency in accounting and financial reporting processes
Support implementation and improvement of ERP and accounting systems
CA-qualified with 6–8 years of post-qualification experience, ideally in the B2B SaaS industry; role based in Bangalore
Strong working knowledge of taxation (direct & indirect) and statutory audit processes
Proven experience in treasury and cash flow management
Excellent understanding of financial reporting, accounting standards, and regulatory frameworksHands-on experience with accounting ERP systems (e.g., Zoho) and Microsoft Excel
A high-impact role in a fast-scaling company
Opportunity to work closely with the leadership team and shape financial strategy
Competitive compensation and ESOPs
A collaborative and growth-driven work culture
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