About the Role<\/b>
<\/div>Simran Boparai Archtelier is seeking a highly responsible and detail\-oriented <\/span>Finance Manager<\/b> <\/span>to take full ownership of the company\u2019s financial planning, budgeting, cash flow, and compliance. This is a senior role designed for someone who is extremely organized, disciplined, and capable of managing the financial rhythm of a fast\-growing luxury architecture and interior design studio.
<\/p>You will work closely with the founders to streamline budgets, ensure healthy cash flow, manage EMIs and financial commitments, oversee vendor payments, and maintain complete financial discipline in the organisation.
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Key Responsibilities<\/b>
<\/div>- Budget Planning & Monitoring<\/b>
<\/li>- Build, track, and optimise project\-wise and company\-wide budgets.<\/b>
<\/li>- Provide monthly, quarterly, and annual financial projections.
<\/li> - Cash Flow & Fund Management<\/b>
<\/li>- Manage inflow and outflow of funds, ensuring liquidity at all times.<\/b>
<\/li>- Maintain dashboards for receivables, payables, and projected commitments.
<\/li> - Payments & EMIs<\/b>
<\/li>- Manage and schedule monthly EMIs, vendor payments, staff\-related payouts, and operational expenses.<\/b>
<\/li>- Ensure <\/span>zero delays<\/b> <\/span>and maintain clean financial records.
<\/li>- Financial Compliance<\/b>
<\/li>- Coordinate with CA, accountants, and legal advisors for GST, TDS, income tax, and statutory filings.<\/b>
<\/li>- Maintain documentation for audits, banking requirements, and project\-level compliance.
<\/li> - Banking & Financial Coordination<\/b>
<\/li>- Liaise with banks for inward/outward remittances, credit facilities, and loan\-related matters.<\/b>
<\/li>- Maintain accurate reconciliation of all statements.
<\/li> - Internal Financial Controls<\/b>
<\/li>- Implement systems to minimise leakage, unnecessary expenses, and financial risks.<\/b>
<\/li>- Oversee approvals, validations, and accountability for all monetary transactions.
<\/li> - Reporting & Insights<\/b>
<\/li>- Provide weekly and monthly financial reports to management.<\/b>
<\/li>- Highlight cost inefficiencies, forecast risks, and recommend corrective strategies.
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Requirements<\/h3><\/div>
- Bachelor\u2019s degree in <\/span><\/span>Finance, Accounting, Commerce, or Business Administration<\/b>.
<\/li>- Preferred:<\/b> <\/span><\/span>MBA/PGDM in Finance or CA Inter / Semi\-qualified CA (not mandatory).
<\/li>- 5\u201312 years of experience in finance, accounts, or financial planning roles.
<\/li> - Strong understanding of <\/span><\/span>GST, TDS, banking processes, budgeting, and cash flow management<\/b>.
<\/li>- Advanced skills in Excel, financial modelling, and tracking systems.
<\/li> - Extremely organised, disciplined, and trustworthy with sensitive financial data.
<\/li> - Ability to work in a fast\-paced environment with multiple projects and financial streams.
<\/li> - Local candidate preferred (Chandigarh/Tri\-city).
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<\/span><\/span><\/span><\/span><\/p>Who Should Apply<\/b>
<\/div>Someone who:
<\/span><\/span><\/span><\/span><\/p>- Is mature, reliable, and takes full ownership of company finances.
<\/li> - Can bring structure, foresight, and financial discipline to a creative high\-growth environment.
<\/li> - Can independently manage accounts, payments, reconciliation's, and cash flow without supervision.
<\/li> - Understands the importance of clean compliance and timely financial planning.
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