Job Description
About the Company
We are redefining the future of sport in India by making leading global sportswear brands and innovative products accessible through world-class digital commerce.
Our mission is to accelerate the growth of global sportswear across India's digital marketplaces by creating exceptional consumer experiences on partner platforms.
We are building high-performance, resilient teams backed by strong partnerships, robust processes, operational excellence, and an agile supply chain.
About the Role
We are looking for a Chartered Accountant to join our Finance & Treasury team and take ownership of vendor payments, TDS and tax compliance, cash-flow monitoring, and treasury operations .
This role is ideal for a finance professional who combines strong accounting fundamentals with a hands-on approach to payments, taxation, reconciliations, controls, and process improvement .
You will work closely with Finance, Accounting, Operations, vendors, banks, and other internal stakeholders to ensure accurate, timely, and compliant financial operations.
Key Responsibilities
Vendor Payments
• Review and verify vendor invoices against POs, GRNs, contracts, and agreed commercial terms.
• Plan and execute payment runs based on credit terms, cash availability, and internal approval policies.
• Review payment data for duplicate payments, discrepancies, and exceptions.
• Reconcile vendor ledgers and statements and resolve payment-related queries.
• Maintain robust approval controls, documentation, and audit trails for all disbursements.
TDS & Tax Compliance
• Compute TDS accurately across applicable sections, rates, and lower/nil deduction certificates.
• Ensure timely TDS deposits and quarterly return filings, including 24Q, 26Q and 27Q .
• Manage issuance of Form 16 and Form 16A .
• Reconcile TDS records with Form 26AS, AIS and TRACES and resolve mismatches, defaults, and notices.
• Coordinate GST payments, reconciliations, and other statutory payments including PF, ESI and Professional Tax.
• Support advance tax computation, tax audits, assessments, and departmental queries.
Treasury & Cash Flow
• Monitor daily cash positions and prepare short-term cash-flow forecasts.
• Perform bank reconciliations and ensure timely closure of unreconciled items.
• Coordinate with banks on payment processing, limits, banking operations, and issue resolution.
• Ensure efficient utilization and visibility of available cash.
Financial Reporting & Month-End Closing
• Support month-end and year-end closing activities related to treasury, payables, and tax accounting.
• Prepare accruals, provisions, reconciliations, schedules, and MIS reports.
• Maintain accurate financial records and supporting documentation.
• Support statutory and internal audits by providing timely and complete information.
Process Improvement
• Identify opportunities to automate and streamline payment, reconciliation, and tax workflows.
• Strengthen financial controls and compliance processes.
• Drive improvements in ERP-based finance processes and reporting.
• Identify operational gaps and proactively implement solutions.
What We're Looking For
• Qualified Chartered Accountant (CA) with 1–5 years of post-qualification experience.
• CA Inter/CMA Inter candidates with strong relevant experience may also be considered.
• Strong understanding of accounting principles, financial statements, and reporting.
• Hands-on knowledge of Indian direct and indirect taxation , particularly TDS/TCS and GST.
• Experience with ERP systems such as SAP, Oracle, Tally, or similar platforms .
• Strong Excel skills with the ability to work with large datasets and reconciliations.
• Strong analytical and problem-solving skills with high attention to detail.
• Ability to manage multiple priorities and meet tight deadlines.
• Strong communication and stakeholder-management skills.
• Comfortable working in a fast-paced, high-growth environment.
Good to Have
• Experience in e-commerce, retail, FMCG, consumer brands, or digital commerce .
• Exposure to marketplace/platform payment reconciliations.
• Experience with banking portals and bulk payment platforms.
• Hands-on experience with TRACES and tax reconciliation.
• Interest in automation, process improvement, and finance transformation.
• Strong ownership mindset with a bias toward execution.
Why Join Us?
• Work with leading global sportswear brands and be part of India's rapidly evolving digital commerce ecosystem.
• Take meaningful ownership of critical finance and treasury processes.
• Work in a collaborative, high-performance environment.
• Gain exposure to complex, fast-scaling business operations.
• Build your career with an organisation focused on learning, ownership, and continuous improvement.
Interested?
If you are a CA with strong experience in treasury, vendor payments, taxation, and financial controls and enjoy working in a fast-paced environment, we'd love to hear from you.