Job Description
Wellthy Therapeutics is a digital therapeutics company that uses artificial intelligence (AI) and patient-centric design to improve patient outcomes for all stakeholders in chronic disease care. It facilitates behaviour change and self-management for patients while helping physicians to enable continual care using technology and solve for the 8750+ hours that patients don’t have access to healthcare.
Role: Finance Manager
Experience: 3+ years
Qualification: CA, M.Com,
Salary: 10 -12L per annum.
Responsibilities-
- MIS reporting, ensuing tax and compliance are in track.
- Manage the monthly financial close process, including ensuring all costs incurred are properly recorded, reviewing journal entries, account balance reconciliations and report preparation
- Work with Audit, Tax and Treasury Manager to ensure overall coordination of all financial accounting activities through annual report
- Preparing monthly reports and variance analysis for Management and Investor reporting.
- Manage the work of the in-house accounting team overseeing Billing, A/R, A/P, GL Revenue Accounting
- Develop and document business processes and accounting policies
- Responsible for keeping the books in a way that it gives the true and fair picture of the organisational financial status.
- Provide tools and support for planning and monitoring cost and efficiency.
- Direct preparation of budgets, review budget proposals and assist management in measuring financial operating performance and results against budget.
- Ensure all relevant local and international rules and regulations are complied with.
- Define and measure the internal control system for the organisation
- Ensure adequate cost centre structures and cost allocations to reflect the correct cost picture of trading and production organisation.
- Create monthly and annual reports to identify results, trends, and financial forecasts
- Manage cash flow by tracking transactions and regularly reviewing internal reports
- Supervise and manage financial department staff, including accountants and financial assistance
- Suggest updates and improvements for accounting systems, including payroll and invoicing
- Co-ordinate with consultants for ensuring timely compliance under the Companies Act
- Collaborate with auditing services to ensure proper compliance with all regulations
- Create systems to prevent errors in data collection and calculations
- Ensuring proper internal controls are in place and are followed by the team
- Building monthly P &L, BS & CF for the company, along with trial balance
- Treasury Management
- Review of contracts and other legal documents.
Skills
- Good Knowledge in MIS, Tally, GST, TDS, ROC & Statutory Compliances
- Strong in Accounting
- Experience in Financial Reporting & Auditing
- Cash Flow Management
- Maintaining Invoice Tracker and Vendor Register