Company
tech/marketplace
Accountant,Controllership
Neural analysis suggests this role is
optimal for Entry candidates.
“Accountant, Controllership. Skills: Accounting, Reconciliations, TDS Deductions. Support month-end close. Book non-product vendor bills”
Industry & Context.
investigate variances; flag discrepancies; resolve mismatches
What They're Looking For.
Must Have
2–3 years of hands-on accounting experience, B. Com, Good understanding of Indian accounting standards, TDS provisions, GST fundamentals, Proficient in Excel (VLOOKUPs, pivot tables)
Nice to Have
CA Inter, CMA Inter, MBA (Finance), experience in a startup, tech, or marketplace environment, experience with ERP/accounting software (e. g. , NetSuite, Tally, Zoho Books), multi-entity or multi-currency bookkeeping, vendor compliance documentation, process automation
What You'll Do.
Support month-end close
Book non-product vendor bills
Process vendor payments
Perform bank reconciliations
Deduct TDS on applicable payments
Prepare audit documentation
Respond to auditor queries
How You'll Work.
Team & Collaboration
Collaborate with the central finance team; occasional extended hours during month-end close and audit periods
Communication Scope
proactive communicator
Full Job Description
Accountant, Controllership, Mumbai, India About the Role We’re hiring a detail-oriented Accountant in Mumbai with 2–3 years of hands-on accounting experience. You’ll support the month-end close process, handle non-product bill bookings and payments, perform bank and vendor reconciliations, ensure accurate TDS deductions, and assist in preparing audit documentation. This is an excellent opportunity for someone looking to build a strong foundation in accounting within a fast-paced tech/marketplace environment. Key Responsibilities Month-End Close Support - Assist in executing the monthly close calendar; post depreciation entries, review accounts - Support the controller team in delivering accurate trial balances and supporting schedules. - Help investigate variances and flag discrepancies for resolution. Accounts Payable & Bill Processing - Book non-product vendor bills (rent, utilities, professional services, subscriptions, travel, and other operational expenses) accurately and in a timely manner. - Verify GST details on vendor invoices (GSTIN, HSN/SAC codes, tax rates) and ensure TDS applicability is assessed before booking. - Process vendor payments after due verification and approvals; maintain a payment tracker. - Ensure proper coding of expenses to the correct GL accounts and cost centres. Reconciliations - Perform bank reconciliations on a regular basis and follow up on outstanding items. - Carry out vendor/supplier reconciliations; identify and resolve mismatches in a timely manner. - Reconcile petty cash and credit card statements. TDS Deductions - Deduct TDS on applicable payments (rent, professional fees, contracts, etc.) as per the Income Tax Act. - Maintain accurate TDS workings and ensure deductions are correctly reflected in the books. - Coordinate with the tax team to ensure vendor PAN verification and compliance before processing payments. Audit Support - Prepare and organise documentation for statutory audits, tax audits. - Respond to auditor queries
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