SunAct (also known as SunAct - Advanced Cancer Therapies or SunAct Cancer
Institute) is an Indian company focused on making advanced cancer treatments,
such as CAR T-cell therapy, TCR therapy, and TIL therapy, accessible and
affordable. Founded by oncology leaders, the company partners with hospitals to
deliver innovative cell and gene therapies for both blood and solid tumors, aiming
to redefine oncology care in India and beyond.
Key Responsibilities:
* Oversee all accounting operations including Billing, A/R, A/P, GL, Cost
Accounting, Inventory Accounting, and Revenue Recognition.
* Prepare and publish timely monthly, quarterly, and annual financial statements.
* Coordinate and direct budget preparation, financial forecasts, and report
variances.
* Ensure quality control over financial transactions and reporting.
* Develop internal control policies, guidelines, and procedures for activities such
as budget administration, cash and credit management, and accounting.
* Manage audits and ensure compliance with local tax and regulatory
requirements.
* Partner with senior leadership to drive financial performance, growth strategies,
and operational efficiency.
* Lead and mentor the finance team to enhance performance and accountability.
Qualifications & Skills:
1. Should have 5-10 years post-qualification experience as a Chartered
Accountant (excluding Articleship).
2. Preferred experience working with a Big 4, Big 5, or Big 6 firm.
ABOUT THE ROLE:
The Finance Controller will oversee all aspects of financial management including accounting, budgeting, forecasting, taxation, audit, internal controls, and compliance. This role is pivotal in ensuring financial health, regulatory adherence, and strategic support to leadership for business decisions in a fast-paced supply chain and food logistics environment.
Key Responsibilities:
Financial Planning & Analysis
- Drive budgeting, forecasting, and long-range financial planning processes.
- Analyze financial performance and provide actionable insights to management.
- Ensure robust financial models to support strategic initiatives and cost optimization.
Accounting & Reporting
- Oversee all accounting operations, including month-end/year-end closing, reconciliations, and ledger management.
- Ensure timely and accurate financial reporting in compliance with statutory requirements (IND AS, Companies Act, GST, etc.).
- Manage working capital, cash flow forecasting, and fund utilization.
Internal Controls & Compliance
- Design and implement effective internal control systems across all business functions.
- Ensure compliance with tax regulations, statutory filings, and audit requirements.
- Liaise with auditors, consultants, and regulatory authorities for audits and assessments.
Cost & Margin Management
- Track operational costs and identify opportunities for cost reduction across the supply chain and warehousing operations.
- Monitor product/service-level profitability and recommend pricing or cost-control measures.
Leadership & Business Partnering
- Act as a strategic business partner to the CEO, COO, and department heads.
- Lead and mentor the finance team for skill development and performance enhancement.
- Support automation and digitization of financial processes for improved accuracy and speed.
Stakeholder Management
- Coordinate with banks, investors, suppliers, and vendors for financing, payment terms, and funding requirements.
- Prepare financial presentations and reports for the board, investors, and external stakeholders.
Key Requirements:
1. CA/CFA, MBA Finance from tier 1 institute
2. Experience in FP&A, Finance controllership, audit, valuations
3. Exposure to financial reporting automation
4. Willingness to work on fund raising and capitalization
5. The profile will also entail Legal and Assurance divisions
We are a fast-growing startup in the BPC space. As we scale rapidly, we are looking for a hands-on, detail-oriented Financial Controller to build out our financial operations and support the growth trajectory.
As Financial Controller, you will take ownership of the company’s day-to-day financial operations, ensure compliance and provide insights to support financial decisions. You will play a critical role in building financial infrastructure, implementing processes hence supporting the company scale efficiently.
Key Responsibilities:
Accounting:
● Ensure accurate and timely accounting for the company, including periodic book closing and preparation of financial statements.
● Coordinate with auditors for seamless and timely completion of statutory and internal audits.
● Oversee all accounting operations including A/P, A/R, Payroll, General ledger, and Tax Compliance
Compliance & Tax:
● Develop effective tax strategies to optimize tax implications
● Ensure compliance with direct and indirect tax regulations, along with other statutory requirements.
● Manage interactions with government agencies for availing entitlements and subsidies.
Treasury & Risk Management:
● Manage working capital and cash flow to optimize utilization and minimize costs.
● Coordinate with financial institutions for fund-based and non-fund- based limits.
● Implement strategies for managing and hedging investment, business, and financial risks.
Costing & Control:
● Establish and maintain robust processes and internal controls to prevent loss or leakages.
● Ensure accurate product costing and pricing for the company Corporate Governance:● Manage external stakeholder relationships, establishing transparent communication frameworks.
● Engage with investors to maintain their trust in management financial decisions.
Skills Required:
● Strong knowledge of accounting systems, consolidation, and inter-company processes.
● Excellent understanding of Indian Accounting Standards and tax regulations.
● Proficient in ERP systems
● Strong analytical and reporting skills, with attention to detail.
● Excellent communication skills and the ability to liaise with external
agencies.
Qualifications & Experience:
● Chartered Accountant with a minimum of 5 years of post- qualification experience.
● Detail-oriented with a hands-on approach to financial management.