Drivetrain is on a mission to enable businesses to make better decisions. Our financial planning & decision-making platform helps businesses scale and achieve their targets predictably.
The company was founded by ex-Googlers in 2021 and is backed by leading venture capital firms. Headquartered in Georgia, USA, Drivetrain is a remote-first company.
About the role
Drivetrain is looking for a Finance Controller to join our team. As our Financial Controller, you will be responsible for managing , developing and overseeing the whole financial management system in our company.
Life at Drivetrain
Drivetrain provides a great culture to thrive in and be happy.
Remote-friendly: Drivetrain brings together the best and the brightest, no matter where they are and provides them a great degree of autonomy. We trust them to do the right thing.
Open & transparent: When creators have access to all the information they need, the best product can emerge.
Idea-friendly: We provide an environment to explore, to take risks, to make mistakes and to learn, so you can succeed. Anyone can come up with great ideas and bring about a change. We let the best ideas win.
Customer-centric: We constantly learn from our customers and collaborate to build the amazing software that Drivetrain is.
What you’ll be doing
The role requires to drive & lead the entire accounting & finance function for the organization.
Financial Accounting -
Owner for the accounting function for the organization
Responsible for Monthly/Yearly book closing with the assistance of external CA firm/junior team member(s)
Oversight of billing & collections process
Contract & vendor management
Owner of the payroll process
Liaison with the Statutory auditor of the Company
Oversight for all statutory compliances including TDS, RBI, MCA, PF, PT etc.
Financial Planning and Analysis -
Weekly/Monthly MIS Reporting to the top management
Monthly MIS reporting to the Investors
Responsible for the annual Budgeting, tracking actuals, Variance Analysis
Treasury Management –
Assisting founders/directors in the fund raise process
Deploying surplus funds in the securities with no risk to capital
Managing the day to day working capital requirement of the company
Responsible for all the Corporate taxes including the tax audit
Responsible for the Indirect taxes including Goods and Service Tax audit
Business partnering - Interact with the Business leads to identify, analyse and provide solutions to the business problems
Chartered Accountant with 5+ years of post-qualification experience
Proven track record of success in leading managing the accounting function independently
Start- up Enthusiast
Sounds exciting? Write to us at firstname.lastname@example.org