Finance Controller

Work Type: Full Time

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

Compliances –

  • 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

Taxation –

  • Responsible for all the Corporate taxes including the tax audit

  • Responsible for the Indirect taxes including Goods and Service Tax audit

Other -

  • 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

  • Stakeholder management

  • Team Management

  • Start- up Enthusiast

Sounds exciting? Write to us at

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