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You will be updated with latest job alerts via emailThe Accounts & Finance Manager will oversee end-to-end finance operations including US GAAP accounting financial reporting audits and cash flow management. The role requires strong expertise in SaaS metrics financial planning and cross-border compliance supporting executive decision-making in a dynamic growth-focused health-tech environment.
About the Company:
The company is based in India acting as the specialized back office for a U.S. health-tech company. The U.S. based company provides an innovative cloud-based dental software platform built specifically for Dental Service Organizations (DSOs). Our expertise helps deliver a solution that simplifies clinical and operational workflows through a unified interface with advanced features such as AI-powered radiology analysis orthodontic management and streamlined claims processing. This powerful platform empowers dental practices at thousands of locations to make smarter data-driven decisions with robust analytics and a secure infrastructure.
Roles and Responsibilities:
Financial Reporting & Analysis
Oversee preparation of monthly quarterly and annual financial statements in compliance with US GAAP
Review financial reports for accuracy completeness and regulatory compliance
Analyze financial results and provide insights to support strategic decision-making
Ensure timely consolidation and reporting of group financials where applicable
Own financial planning and forecasting cycles: monthly quarterly and annual
Monitor and analyze core SaaS KPIs such as MRR ARR CAC CLTV churn payback period and gross margin by product/module
Build scenario models and dashboards to support executive decision-making
Manage day-to-day accounting activities including accounts receivable accounts payable and general ledger for the US business
Supervise month-end and year-end close processes
Maintain accurate records and ensure data integrity across accounting systems
Support audits and respond to queries from tax authorities and auditors
Lead month-end close revenue recognition (incl. multi-year contracts) and deferred revenue tracking
Cash Flow & Treasury Management
Monitor cash flow bank balances and liquidity requirements
Manage banking relationships and oversee payments transfers and funding requirements
Prepare cash flow forecasts and ensure optimal fund utilization
Qualifications:
Bachelor s degree in Accounting Finance or related field; US CPA is a plus
6 10 years of experience in accounting and finance with strong exposure to US accounting standards
Proficiency with Excel financial modeling QuickBooks & Stripe
Proven ability to manage end-to-end accounting budgeting and financial reporting functions
Strong analytical problem-solving and decision-making skills
Excellent communication and interpersonal skills for cross-functional collaboration
Self-starter with the ability to build processes from scratch and work independently in a dynamic environment
Full Time