Manage tax compliance and treasury operations in the shared services center, ensuring accurate filings and optimal liquidity for the company.
Prepare and file GST, TDS, and income tax returns
Maintain relationships with parent company, banks and financial institutions
Monitor cash flow, FX exposure, and working capital and manage liquidity
Ensure proper documentation and manage internal and external audits related to tax and treasury
Bachelor’s degree in tax, accounting, finance, or related field
Preferred: Master’s Degree, MBA, CPA, or other advanced degrees
3–5+ Years of experience in tax and treasury functions
Familiarity with Indian tax laws
Business-level proficiency in English
SKILLS & COMPETENCIES
Analytical, detail-oriented, and process-driven
Strong understanding of Indian tax laws, GST, customs, and transfer pricing
Ability to manage audits and liaise with authorities
Ability to work under tight deadlines
Strong time management, documentation, organizational and problem-solving skills
Experience with ERP systems and MS Office Suite
Experience with treasury systems and cash management tools

