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Job Title


Corporate Finance Specialist


Company : Vivriti Capital


Location : Chennai, Tamil Nadu


Created : 2025-08-03


Job Type : Full Time


Job Description

About Vivriti Group Vivriti Group is a trailblazer in the mid-market lending space, offering customized debt solutions to mid-sized enterprises. The group operates through two core businesses: Vivriti Capital Limited : A systematically important Non-Banking Financial Company (NBFC ND-SI) regulated by the Reserve Bank of India (RBI). Vivriti Capital has disbursed over USD 3 billion to 300+ enterprise borrowers and holds a CRISIL rating of A+. Vivriti Asset Management : A fixed-income fund manager, managing multiple Alternative Investment Funds (AIFs). With over USD 550 million in commitments from 900+ institutional and private contributors, Vivriti AMC has invested more than USD 600 million across 90+ entities. Role : Associate / Senior Associate / Manager - Corporate Finance Location : Chennai Mode : Work from Office Role Overview We are looking for a proactive and detail-oriented Corporate Finance Manager 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 subsidiary’s 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 with 1–2 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.