
11 - 50 employees
💸 Finance
🤝 B2B
☁️ SaaS
Finance • B2B • SaaS
Emergence is a venture capital firm that focuses on investing in early- and growth-stage enterprise software and cloud/SaaS companies. It partners with founders building B2B platforms and services, providing capital and operational support to help scale businesses in the enterprise software space.
🕒 July 28
🇮🇳 India – Remote
💵 $10k / year
⏰ Full Time
🟡 Mid-level
🟠 Senior
💲 Accountant / Accounting
👻 Ghost score 12%
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11 - 50 employees
💸 Finance
🤝 B2B
☁️ SaaS
Finance • B2B • SaaS
Emergence is a venture capital firm that focuses on investing in early- and growth-stage enterprise software and cloud/SaaS companies. It partners with founders building B2B platforms and services, providing capital and operational support to help scale businesses in the enterprise software space.
• Own accurate, timely monthly and annual financial closes across consolidation entities while maintaining U.S. GAAP compliance and audit-ready documentation. • Complete month-end, quarter-end, and year-end close cycles on established calendars with zero material errors. • Prepare and post 50+ monthly journal entries with complete supporting documentation and GL reconciliation within 48 hours. • Reconcile 15+ balance sheet accounts monthly, investigate discrepancies, and maintain roll-forward schedules for accruals. • Maintain and reconcile bank accounts, AR/AP subledgers, and fixed asset registers to the general ledger. • Record fixed asset additions, disposals, transfers, and calculate monthly depreciation with zero variance tolerance. • Support internal and external audits by delivering organized, cross-referenced documentation within 48 hours of request.
• Demonstrable mastery of U.S. GAAP, accrual accounting, and month-end close mechanics (CA, CMA, or 3+ years staff-level accounting). • Proficiency in ERP systems: Sage Intacct, NetSuite, QuickBooks, Xero, or Microsoft Dynamics 365 Business Central. • Advanced Excel skills: PivotTables, VLOOKUP/XLOOKUP, SUMIFS, nested formulas; ability to build reconciliation trackers independently. • Experience preparing journal entries and performing reconciliations in multi-entity or consolidation environments. • Demonstrated attention to detail with ability to catch errors before submission and maintain complete audit trails. • CA (Qualified) or CA Fresher credential (nice-to-have). • Prior experience in a PE portfolio company or multi-entity consolidation environment (nice-to-have). • Familiarity with Sage Intacct or NetSuite specifically (nice-to-have).
• Remote work based in India • Exposure to PE-backed business scaling and consolidation accounting • Opportunity to build accounting process infrastructure across multiple portfolio companies
Apply Now🕒 July 27
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