
// Open Role at Side (PTW)
Lead Side's finance operations in India, overseeing end-to-end accounting, financial reporting, and compliance while providing crucial financial insight to studio and business leaders within a global gaming services company.
Side is seeking an experienced India Controller (Finance) to join our finance team in Bangalore.
This is a hands-on finance leadership role covering the full spectrum of finance activities, including end-to-end accounting, month-end close, financial reporting, statutory compliance, audit coordination, cash flow management, and process improvement.
You will work closely with studio heads, finance leadership, FP&A, and other department leads to ensure accurate reporting, strong financial controls, and clear commercial insight across the business.
The ideal candidate will be detail-oriented, proactive, commercially aware, and confident managing both finance processes and people.
Side is a global video game development and services provider, offering technical and creative solutions to many of the largest developers and studios around the world.
Founded in 2009 and drawing on 30+ years’ experience from our parent company in Japan, Side has grown into a global force with 15+ studios in over a dozen countries across North America, Europe, South America, and Asia.
Our services include game development, art production, audio production, quality assurance, localisation, localisation QA, player support, community management, and datasets.
Join us and help bring stories to the world through unforgettable game experiences.
For more information, visit www.side.inc.
Based in Bangalore, or able to work from the Bangalore office full-time. Mandatory qualification: CA, CPA, CMA, or ICWA. Strong end-to-end finance and accounting experience. Proven experience managing month-end close, reconciliations, financial statements, and reporting. Experience overseeing general ledger, accounts payable, accounts receivable, payroll, cash management, and credit control. Strong knowledge of statutory compliance, audit preparation, and external auditor management. Knowledge of US GAAP and global accounting standards. Experience working with accounting and bookkeeping across multiple countries or regions, ideally including the US, Europe, and Asia. Experience developing and maintaining financial policies, procedures, and internal controls. Strong cash flow forecasting and working capital management experience. Experience managing, mentoring, or supervising finance team members. Strong communication skills, with the ability to work effectively with finance and non-finance stakeholders. Proactive, hands-on approach with the ability to work under pressure and respond to business priorities.