About Tatvic:
Tatvic Analytics is a leading global MarTech and analytics consulting firm, specializing in Google Marketing Platform (GMP) and Google Cloud Platform (GCP) solutions.
As a certified Google Partner, we help businesses optimize marketing spend, improve customer engagement, and drive growth through data-driven insights, AI-driven analytics, and advanced marketing technology.
Our expertise spans Google Analytics, programmatic campaign management, conversion rate optimization, cloud-based marketing activation, and location-based services.
With a strong focus on innovation and technology, we work with leading brands across eCommerce, BFSI, and digital-first industries.
At Tatvic, you'll be part of a dynamic team that leverages cutting-edge tools, data science, and automation to solve complex digital challenges and create real business impact.
Job description
We are looking for a strategic General Manager Finance to drive financial planning, reporting, and compliance across all our group entities .
This role combines strong financial expertise with a focus on automation, efficiency, and data-driven decision-making to help fuel business growth and profitability.
Key Responsibilities:
- Financial Planning & Reporting: Oversee monthly financial reporting, forecasting, budgeting, and long-term financial planning (35 years).
- Ensure timely and accurate presentation of financials in line with both organizational and statutory standards.
- Strategic Insights: Provide actionable financial insights to the leadership team, focusing on cost optimization, margin analysis, and commercial decisions.
- Contribute to strategic discussions that drive business growth.
- Compliance & Audit: Manage all aspects of statutory and tax compliance (domestic and international), ensuring on-time submissions and audit readiness.
- Coordinate with external consultants as necessary.
- Process Automation & Efficiency: Lead initiatives to automate key financial processes such as invoicing, approvals, payables, and compliance tracking.
- Work cross-functionally to streamline workflows and reduce manual efforts.
- Treasury & Investments: Optimize cash flow management, investments, and currency hedging.
- Lead periodic reviews to ensure robust financial controls and maximize returns on free cash flow.
- Receivables Management: Drive initiatives to reduce receivable days, enhance client coordination, and ensure timely collections.
- Proactively manage client-side delays and minimize outstanding receivables.
- Risk Management & Financial Controls: Oversee financial risk management, identify areas of improvement, and implement controls to minimize errors across finance and operations.
- Team Leadership: Supervise core finance functions including Accounts Payable, Accounts Receivable, payroll, and accounting operations to ensure smooth day-to-day financial activities.
Must Have:
- CA with 4-7 years of relevant experience.
- Strong expertise in financial controls, process automation, and cash flow management.
- Proficient in Zoho Books is Must.
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