INTERNSHIP DETAILS
Intern - CA Industrial Trainee - Revenue Controller
CompanyOxane Partners
LocationGurgaon
Work ModeOn Site
PostedSeptember 7, 2026

Internship Information
Core Responsibilities
The role involves preparing management reports, financial statements, and cash flow forecasts while supporting business performance reviews. Additionally, the trainee will manage tax compliance, including filing returns and handling audits to ensure regulatory adherence.
Internship Type
full time
Company Size
898
Visa Sponsorship
No
Language
English
Working Hours
40 hours
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About The Company
Oxane Partners is a technology-driven solutions provider to the private credit markets. Our solutions transform the way investment firms and banks analyze and manage their investments. We unify our technology with deep domain expertise to provide compelling and relevant solutions across all asset classes.
Our collaborative engagement approach helps our clients evaluate more opportunities faster and better manage their existing investments while still maintaining the rigor of their investment process. Our solutions manage over $1.5 Trillion of notional for 100+ clients including 23 of the top 30 global investment banks and 13 of the top 30 global private debt funds.
Founded in 2014 by former credit traders from Deutsche Bank, Oxane Partners has grown to a team of 950+ highly skilled financial analysts and technology experts. Oxane Partners is headquartered in London and has additional offices in New York, Gurgaon, and Hyderabad.
About the Role
The role is responsible for preparing and analysing management reports, financial statements, profit & loss accounts, balance sheets, cash flow forecasts, and business performance metrics. The individual will support management decision-making through accurate financial reporting,
cash flow forecasting, variance analysis, and financial insights while ensuring the integrity of financial information across the organization.
Key Responsibilities:
Management Reporting:
- Assist in monthly, quarterly, and annual balance sheet and Cash flow closing activities.
- Perform balance sheet schedules preparation and account reconciliation
- Assist in preparation of monthly/quarterly budgets and forecasts
- Support MIS reporting - variance analysis (actual vs. budget vs. forecast)
- Assist with business performance reviews and dashboards for leadership
- Support ad-hoc reporting and analysis
Tax and Compliance:
- Ensure timely and accurate filing of all direct and indirect tax returns (e.g., income tax, GST, TDS, etc.).
- Monitor changes in tax laws and assess their impact on the organization.
- Manage tax assessments, audits, and correspondence with tax authorities.
- Optimize tax planning strategies in compliance with legal and regulatory frameworks
Requirements
- Strong understanding of accounting and finance concepts.
- Basic knowledge of GST, Income Tax, and statutory compliances.
- Proficiency in Microsoft Excel.
- Good analytical and problem-solving skills.
- Strong attention to detail and willingness to learn.
- Effective communication and stakeholder management skills
Key Skills
Management reportingFinancial statementsProfit & loss accountsBalance sheetsCash flow forecastingVariance analysisAccount reconciliationBudgetingTax complianceGSTIncome taxTDSMicrosoft ExcelAnalytical skillsProblem-solvingStakeholder management
Categories
Finance & AccountingManagement & Leadership
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Must-Have Skills for This Role
Management reportingFinancial statementsProfit & loss accountsBalance sheetsCash flow forecasting