Senior Associate Corporate Finance
Vivriti Capital
3 - 4 years
Chennai
Posted: 21/03/2026
Job Description
About Vivriti Group:
Vivriti Group is a pioneer in the Mid-Market Lending space providing tailored debt solutions to mid-sized entities. The group has the following businesses:
- Vivriti Capital Limited, a systematically important NBFC (NBFC ND-SI) regulated by RBI. As on date, Vivriti Capital has disbursed USD 3 billion across 300+ enterprise borrowers and is rated A+ by CRISIL.
- Vivriti Asset Management, subsidiary of Vivriti Capital, is a fund manager to fixed income alternate investment funds (AIFs). As on date, Vivriti Asset Management has across funds, raised commitments of over USD 500 million from 900+ Institutional and private contributors. Vivriti AMC has also made investments of over USD 575 million across 80+ entities.
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Role Overview
We are looking for a proactive and detail-oriented Corporate Finance professional to manage the finance function of a holding company, which has operations in leasing, asset development and other associated revenue streams. The role involves end-to-end ownership of finance, including accounting, compliance, reporting, and treasury functions. The candidate will also be responsible for the finance function of one subsidiary and manage a small team.
Key Responsibilities
1. Finance & Accounting
- Manage day-to-day accounting for all revenue streams.
- Ensure accurate revenue recognition in line with applicable standards (e.g., IND-AS).
- Handle billing cycles, rent collection, and invoicing for software and lease-related operations.
- Maintain books of accounts and ensure monthly closure with proper reconciliations and schedules.
- Manage fixed assets, intercompany transactions, and expense allocations.
2. Group level
- Take ownership of the subsidiarys accounts and coordinate with local finance team.
- Consolidate financials at group level (standalone and consolidated view).
- Monitor cash flows, budgeting, and compliance for the subsidiary.
3. Compliance & Statutory Requirements
- Ensure timely filing of GST, TDS, income tax, and other statutory returns.
- Coordinate with auditors for statutory, tax, and internal audits.
- Ensure compliance with ROC filings and regulatory obligations.
4. Treasury & Cash Flow Management
- Manage bank relationships, track fund flows across entities, and optimize working capital.
- Prepare cash flow forecasts and monitor liquidity at entity and group level.
5. MIS & Reporting
- Prepare monthly MIS, variance analysis, and dashboards for management review.
- Support budgeting, forecasting, and business performance analysis.
6. Team Management
- Supervise and guide a small team for transactional activities.
- Delegate tasks effectively and ensure timely delivery of outputs.
Qualifications
- CA Fresher / B.com with 3-4 years of experience.
- Experience in corporate finance, accounting, and compliance within a group structure or auditing the same.
Key Skills
- Strong understanding of IND-AS.
- Working knowledge of lease accounting, revenue accounting, and intercompany reconciliations.
- Proficient in MS Excel, Tally/ERP systems; experience with automation tools is a plus.
- Ability to manage multiple stakeholders and balance holding and subsidiary priorities.
- Hands-on, detail-oriented, and capable of independently managing end-to-end finance.
Preferred Experience
- Prior experience in a holding company or group entity with multiple business lines or auditing the same.
- Experience in leading small teams.
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