This role will work closely with founders, investors, auditors, tax advisors, and legal counsel to ensure the company maintains robust financial processes while supporting strategic growth initiatives. **Key Responsibilities****Financial Controllership \& Reporting*** + Lead the end\-to\-end accounting and controllership function.
+ Ensure accurate and timely monthly, quarterly, and annual financial closing.
+ Prepare financial statements in accordance with applicable accounting standards.
+ Develop and maintain robust financial controls, SOPs, and governance frameworks.
+ Monitor working capital, inventory accounting, warehouse accounting, and cash flow management.
+ Drive MIS reporting, business performance analysis, and management dashboards.
+ Prepare financial models, investor data packs, MIS reports, and diligence materials.
+ Manage virtual data rooms and coordinate with investors, investment bankers, legal advisors, and auditors.
+ Respond to investor queries during commercial, financial, tax, and legal due diligence processes.
+ Assist in transaction structuring and execution of fundraising activities.
+ Ensure readiness for investor, statutory, internal, and compliance audits.
+ Identify and remediate diligence observations and compliance gaps.
+ Monitor compliance with Companies Act, FEMA, taxation laws, and other regulatory requirements.
+ Oversee direct and indirect tax compliance including GST, TDS, income tax, and regulatory filings.
+ Coordinate with external auditors, consultants, and regulatory authorities.
+ Ensure timely closure of audit observations and implementation of recommendations.
+ Partner with operations and supply chain teams to improve inventory efficiency and working capital management.
+ Drive periodic inventory audits and stock verification processes.
+ Monitor warehouse\-level profitability and inventory health metrics.
+ Monitor cash flows and liquidity planning.
+ Support debt financing, lender reporting, and covenant compliance.
+ Optimize working capital utilization.
+ Drive automation, process improvements, and implementation of scalable finance systems.
+ Collaborate cross\-functionally with operations, procurement, technology, and business teams.
+ Additional qualifications such as CFA, MBA Finance, or CPA will be an advantage.
+ Prior experience in a high\-growth startup, e\-commerce, quick commerce, retail, D2C, marketplace, logistics, or inventory\-led business.
+ Demonstrated experience in Series A, Series B, Series C, or growth\-stage fundraising.
+ Hands\-on experience managing investor due diligence, financial due diligence, and data room processes.
+ Strong exposure to inventory accounting and supply chain finance.
+ Experience managing audits, taxation, compliance, and financial reporting.
+ Advanced financial modelling and analytical skills.
+ Expertise in ERP systems and finance automation tools.
+ Excellent stakeholder management and communication skills.
+ Ability to operate in a fast\-paced startup environment and manage multiple priorities.
+ Successful completion of fundraising and due diligence processes.
+ Strong audit and compliance track record.
+ Improvement in inventory controls and working capital efficiency.
+ Robust financial governance and investor\-ready reporting framework.
+ Scalable finance processes to support rapid business growth.
Candidates who have worked with venture\-backed startups and have independently managed at least one institutional fundraising process (Series A onwards), including investor diligence, data room management, SHA/SSA closing support, and post\-investment compliance, will be strongly preferred.
Senior Director- HR
FDM Digital Solutions · Faridabad
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Senior Director- HR
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