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Finance Head — Airlines
Etrav Technology
Job Title: Finance Head — Airlines
Experience 10+ years (6+ years in finance leadership)
Role Overview
The Finance Head for Airlines is a critical strategic finance leadership role responsible for managing the
complete financial operations of the airline business vertical within Etrav Tech Ltd. This position
oversees all aspects of airline ticketing financial management including payables to airlines and Global
Distribution System (GDS) partners, receivables from travel agents, full account reconciliation across
multiple revenue streams, GST and TDS compliance, and comprehensive monthly Profit & Loss
reporting. You will manage and mentor a finance team responsible for delivering accurate, timely
financial reporting and strategic insights that drive profitability and agent satisfaction across the airline
distribution network.
Key Responsibilities
• Develop and implement comprehensive financial strategies for the airline business vertical aligned
with company growth targets and profitability objectives.
• Negotiate payment terms with airline partners and GDS providers to optimize working capital and
improve margins while maintaining strong relationships.
• Work with the Managing Director to set financial targets, forecast airline business performance,
and identify strategic growth opportunities within the airline ticketing segment.
• Build and mentor a high-performing finance team capable of managing increasing transaction
volumes, implementing automation, and maintaining accuracy at scale.
Operational
• Manage complete payables processes including invoice receipt, verification, approval workflows,
and timely payment to airlines and GDS partners while maintaining compliance.
• Oversee receivables management — ensuring accurate invoicing to travel agents, follow-up on
outstanding payments, and minimizing Days Sales Outstanding while maintaining agent
relationships.
• Execute full account reconciliation including GST reconciliation, TDS reconciliation, agent
settlement statements, and airline commission verification on a monthly basis.
• Maintain internally audited monthly Profit & Loss statements for the airline business reflecting
accurate revenue, cost of goods sold, commissions, and operating expenses.
• Implement and monitor monthly financial close procedures ensuring accuracy and timeliness
across all transaction types and agent segments.
• Coordinate with travel agents and airline partners to resolve billing
growth trajectory and significant impact on company performance.
Minimum Experience
• 10+ years of experience in finance roles, with a minimum of 6 years in a leadership or supervisory
capacity managing finance teams.
• Minimum 5 years of experience in B2B travel industry finance, airline industry finance, or similar
high-volume transaction-based financial environments.
• Demonstrated experience managing full-cycle accounting including payables, receivables,
reconciliation, and financial reporting in the travel or airline sector.
Broadcasted: 2 months ago
Sr. Manager / Sr. Chartered Accountant
Goldenhire Consultancy
Role: Sr. Manager / Sr. Chartered Accountant
📍 Location: Mumbai
🕒 Experience: 6+ Years | Immediate Joining Preferred
We are seeking a seasoned Chartered Accountant (CA) with 6+ years of experience to step into a strategic finance leadership role. This position is ideal for professionals who thrive in fast-paced environments and want to partner with senior management on financial planning, compliance, and business decision-making.
*Key Responsibilities:*
Lead financial planning, budgeting, and forecasting processes
Ensure compliance with statutory regulations, tax laws, and internal controls
Drive financial strategy to support business growth and profitability
Collaborate with leadership on investment decisions and risk management
Oversee audits, reporting, and governance frameworks
Ideal Candidate Profile:
Chartered Accountant with 6+ years of post-qualification experience
Strong expertise in accounting, compliance, and corporate finance
Proven ability to influence senior stakeholders and drive strategic outcomes
Excellent analytical, leadership, and communication skills
📧 Apply now: *info@goldenhire.in* | +91-9650754165
Posted: 2 months ago
Financial Advisor
Money Honey Financial Service Pvt Ltd
We are a one-stop financial services shop, widely known for quality of its advice, personalized service and cutting-edge technology. We started our journey in 2008. Currently we are serving more than 50,000 investors with a team of 100 members. Our core product offering is mutual fund, FD, Govt. Bonds, Debenture, etc.
Role & Responsibilities:
Engage with investors through calls and digital platforms to share updates on Mutual Funds, Fixed Deposits, Bonds, and Debentures.
Offer personalized investment solutions aligned with clients’ short-, medium-, and long-term financial goals.
Maintain strong client relationships to ensure satisfaction, retention, and loyalty while managing regular communication across multiple channels.
Stay informed about market trends, financial products, and investment opportunities to deliver timely and relevant guidance.
Drive business growth by tracking leads, following up on prospects, and acquiring new clients through referrals, networking, and community outreach. Qualification : Minimum Graduate from any stream. Experience : Fresher’s can apply. Remuneration : As per company norms Working days : Monday to Saturday (first 6months) Post 6months alternate Saturday off.
Contact: Email : hr.mumbai@moneyhoney.co.in Mobile : 8655867034
Posted: 2 months ago
Manager — Banking Relationships & Payment Commercials
Etrav Technology
Manager — Banking Relationships & Payment Commercials
Job Title Manager — Banking Relationships & Payment Commercials
Department Finance & Accounts (Treasury)
Job Location Mumbai (Head Office)
Experience 8+ years, mandatory banking / payments background
Key Responsibilities:
Banking Relationship Management
• Act as the group's single point of contact and owner of all banking partner relationships across Etrav Tech and Eagle Crest.
• Build and maintain strong, healthy, long-term relationships with relationship managers, product heads, and senior banking stakeholders.
• Conduct regular business reviews with each bank, manage escalations, and ensure consistent service quality and responsiveness.
• Map the banking ecosystem, maintain a diversified panel of partners, and identify and onboard new banking partners where they deliver better terms or capability.
Corporate Credit Cards
• Own and manage all corporate credit card programs across the group, including issuance, limits, controls, and lifecycle management.
• Negotiate best-in-market card commercials: cashback and reward rates, credit limits, interest-free / float periods, fee waivers, and airline / category-specific benefits.
• Optimize card spend routing across issuers to maximize cashback yield and free-credit float on airline and supplier payments.
• Coordinate with the Finance team on accurate reconciliation of card spends, cashback, and reward realization.
Payment Gateway & POS Commercials
• Own commercial relationships with payment gateways, aggregators, and POS / terminal providers used for agent and customer collections.
• Negotiate the lowest achievable MDR, transaction fees, setup, and maintenance charges, and renegotiate as volumes grow.
• Benchmark payment gateway and POS commercials continuously against the market across cards, UPI, net banking, and wallets.
• Manage settlement cycles (e.g. T+1), chargeback terms, success-rate optimization, and reconciliation support, and evaluate / onboard new providers where beneficial.
Overall Banking & Forex Commercials
• Negotiate all banking commercials: current account terms, transaction banking and cash-management charges, NEFT / RTGS / IMPS fees, and BG / LC pricing.
• Negotiate competitive forex spreads, remittance charges, and cross-border payment commercials supporting Eagle Crest's overseas DMC operations.
• Negotiate and manage credit lines, working-capital, and overdraft facilities on the best available rates, limits, and terms.
• Optimize float, idle balances, and liquidity arrangements (sweeps / auto sweeps) to improve working-capital efficiency.
Market Intelligence & Benchmarking
• Maintain a live, documented benchmark of the best commercials available in the market across banks, gateways, and card issuers.
• Track new banking and payment products, schemes, network changes, and RBI / regulatory developments that affect commercials.
• Proactively bring cost-saving and revenue-enhancing proposals to the Managing Director with clear commercial business cases.
Compliance & Governance
• Ensure all banking and payment arrangements remain compliant with RBI guidelines, FEMA (for forex / cross-border), KYC norms, and PCI-DSS where applicable.
• Maintain complete and current documentation of every agreement, commercial term, amendment, and renewal.
• Coordinate with Finance and internal audit to ensure all negotiated commercials are correctly applied, billed, and reconciled.
Key Performance Indicators
• Blended Payment Cost: Reduce blended MDR plus gateway / POS processing cost as a percentage of payment throughput against a defined baseline, reviewed monthly.
• Corporate Card Yield: Maximize total card value realized — cashback, rewards, and free-credit float — as a percentage of corporate card spend.
• Commercial Benchmarking: Maintain 100% of banking, card, and payment commercials at or better than the prevailing market benchmark, validated through quarterly benchmarking reviews.
• Relationship Health: Maintain active, healthy relationships with all partner banks and resolve service escalations within agreed SLAs, with no unresolved relationship breakdowns.
• Forex & Remittance Cost: Reduce the average forex spread and remittance cost on Eagle Crest cross-border DMC payments against baseline.
• Working-Capital & Facility Terms: Secure best-available interest rates, limits, and terms on credit lines and working-capital facilities, and improve float days.
• New / Renegotiated Deals: Deliver a target number of new partner onboardings and volume-based renegotiations each year that improve commercials.
• Compliance & Documentation: Maintain 100% compliant and fully documented banking arrangements with zero regulatory or documentation lapses.
Required Qualifications:
Education
• Bachelor's degree in Commerce, Finance, or Business Administration.
• MBA in Finance or equivalent post-graduate qualification preferred.
Mandatory Banking Background
• 8+ years of experience in banking, payments, or cards, with a strong, demonstrable track record in
commercial negotiation and relationship management.
• Direct experience within a bank, payment gateway, card network, or fintech — for example in
corporate / transaction banking, merchant acquiring, cards, or relationship management — is
mandatory.
• Proven experience negotiating MDR, corporate card programs, payment gateway / POS
commercials, forex spreads, and credit facilities.
Domain Knowledge
• Deep understanding of how banks and payment providers price cards, MDR / interchange,
transaction banking, forex, and credit — i.e. knowing where the real negotiating room sits.
• Strong working knowledge of the payments ecosystem: issuers, acquirers, networks (Visa /
Mastercard / RuPay / UPI), aggregators, and settlement mechanics.
• Familiarity with RBI guidelines, FEMA (cross-border / forex), and PCI-DSS principles relevant to
payments.
Technical Skills:
• Advanced Microsoft Excel and commercial modeling — able to build clear cost-benefit and like-for-
like commercial comparisons.
• Comfort with corporate / net-banking portals, card-management platforms, and payment-gateway
/ POS dashboards.
Preferred Qualifications
• Exposure to the travel, e-commerce, or other high-volume transaction industries.
• An existing network of relationships with major banks and payment providers in India.
• Experience with cross-border / multi-currency payments, directly relevant to DMC operations.
• Experience with corporate card and expense / spend-management platforms.
• Prior experience working with internal audit and implementing commercial controls and documentation frameworks.
Broadcasted: 2 months ago
Senior Manager - Finance (Accounts & Finance)
Story Digital
Role Overview
We are looking for a highly driven and detail-oriented Accounts & Finance professional with
5+ years of experience in bookkeeping, financial reporting, and business finance. The role
requires strong ownership of accounting processes along with analytical capabilities to support
profitability analysis, forecasting, and financial decision-making in a dynamic start-up
environment.
Key Responsibilities
1. Financial Reporting & MIS
● Prepare and present monthly MIS reports with key financial indicators (revenue, costs,
margins, variance analysis).
● Analyze financial performance and provide actionable insights to management.
● Track budget vs actuals and highlight deviations.
2. Forecasting & Business Analysis
● Prepare revenue and cost forecasts based on ongoing and upcoming projects.
● Conduct project profitability and business segment profitability analysis.
● Support management in financial planning and decision-making.
3. Accounting & Bookkeeping
● Manage end-to-end bookkeeping activities including journal entries, ledgers, and
reconciliations.
● Ensure strong control over Accounts Receivable (AR) and Accounts Payable (AP)
processes.
● Perform periodic reconciliations (bank, vendor, customer) and resolve discrepancies.
4. Billing & Working Capital Management
● Oversee client billing cycles and ensure accuracy in invoicing.
● Monitor receivables and drive timely collections.
● Manage vendor payments and optimize working capital.
5. Compliance & Taxation
● Ensure timely and accurate GST and TDS compliances including returns and
reconciliations.
● Maintain proper documentation for statutory requirements.
6. Process Improvement & Cost Control
● Identify gaps in existing financial processes and implement efficient business controls.
● Drive initiatives for cost optimization and revenue leakage prevention.
● Strengthen internal controls and standard operating procedures (SOPs).
7. Audit & Stakeholder Management
● Assist in statutory audits and tax audits, ensuring timely closure.
● Liaise with internal teams (sales, operations) and external stakeholders (auditors,
consultants, vendors).
● Provide financial data and insights as required by management.
Required Qualifications
● Bachelor’s degree in Commerce / Finance (B.Com); CA Inter / CMA Inter preferred.
● 3–4 years of relevant Agency experience in accounting, MIS, and financial reporting.
● Strong knowledge of Indian taxation (GST & TDS).
● Proficiency in MS Excel (advanced level preferred).
● Experience with accounting tools like Tally / Zoho Books (preferred)
Key Skills & Competencies
● Strong analytical and problem-solving skills.
● High attention to detail and ownership mindset.
● Ability to work in a fast-paced, evolving start-up environment.
● Good communication and stakeholder management skills.
● Process-driven with a focus on efficiency and control.
Posted: 1 week ago
Tax Senior Accountant/Accounting Manager(USA CPA firm)
USA CPA Firm
A growing California, USA based CPA firm looking to fill a Tax Senior Accountant/Accounting Manager role for remote work based out of India. This will be a work from home full-time role.
Key requirements:
- 4+ years experience in both US accounting and tax preparation as this role will require working on both US taxes and accounting.
- Master’s degree or CA required.
- Software used includes Lacerte (for taxes) and QuickBooks (for accounting) so the candidate needs to have hands-on experience working on both software.
- Attention to detail and focus on accuracy
- Ability to multi-task and handle multiple priorities
- Excellent written and verbal communication skills
- High level of integrity
Remuneration based on experience and can be hourly or fixed amount per month.
Posted: 1 month ago