About Faym:
At Faym, we are leading the charge in content commerce in India through our growing network of creators. Faym.co empowers creators to set up their own mini e-commerce stores, helping them sell products from our partnered brands. Powering over 35,000+ creators with ₹200 Cr monthly GMV, we're redefining creator-led commerce in India.
Role Summary
Lead and scale the finance function at Faym by driving financial planning, compliance, business performance, cash flow management, and strategic decision-making. The role will work closely with the founder and leadership team to build a financially efficient, compliant, and scalable organization.
Key Responsibilities
Financial Planning & Strategy
- Lead annual budgeting, forecasting, and financial planning processes.
- Develop financial models and business projections to support strategic initiatives.
- Partner with leadership to evaluate growth opportunities, investments, and business decisions.
- Track business performance against budgets and financial goals.
Financial Operations & Compliance
- Oversee accounting, taxation, statutory compliance, audits, and financial reporting.
- Ensure timely filing of GST, TDS, Income Tax, ROC, and other regulatory requirements.
- Strengthen internal controls and financial governance frameworks.
- Manage relationships with auditors, consultants, banks, and regulatory authorities.
Cash Flow & Treasury Management
- Drive cash flow planning and working capital management.
- Monitor receivables, payables, and fund utilization.
- Optimize liquidity and ensure adequate cash runway for business operations.
- Oversee banking relationships and treasury functions.
Business Performance & Profitability
- Analyze profitability across business units, campaigns, and revenue streams.
- Identify cost optimization opportunities and improve financial efficiency.
- Build management dashboards and performance reports.
- Support commercial decision-making through financial insights and recommendations.
Fundraising & Investor Management
- Support fundraising, due diligence, and investor reporting processes.
- Prepare financial reports, MIS, and investor-ready materials.
- Manage financial data rooms and due diligence requirements.
- Coordinate with investors, advisors, and external stakeholders.
Finance Systems & Team Management
- Drive automation and process improvements across finance operations.
- Implement and strengthen finance systems, reporting tools, and controls.
- Lead, mentor, and develop the finance team.
- Establish scalable processes to support business growth.
Key KPIs
- Budget & Forecast Accuracy
- Cash Flow & Working Capital Efficiency
- Business Profitability & Cost Optimization
- Compliance & Audit Closure
- Timeliness & Accuracy of Financial Reporting
- Process Automation & Operational Efficiency
- Investor Reporting & Fundraising Readiness
Requirements
- Qualified Chartered Accountant (CA), Practicing CA, or equivalent finance/accounting qualification.
- 3–6 years of experience across finance, accounting, taxation, compliance, and financial reporting.
- Strong understanding of GST, TDS, Income Tax, ROC compliance, audits, and financial controls.
- Experience in budgeting, cash flow management, MIS reporting, and financial planning.
- Prior experience in startups, D2C, e-commerce, marketplaces, agencies, or high-growth businesses is preferred.
- Strong analytical and problem-solving skills with attention to detail.
- Proficiency in Excel, financial modeling, accounting software, ERP systems, and reporting tools.
- Ability to independently manage finance operations while partnering with leadership on financial decisions.
- Strong stakeholder management and communication skills.
Email ID - [email protected]