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Job Description
About You Experience, Education, Skills, And Accomplishments
- Qualified accountant with 6+ years of experience, preferably, CA, CMA or MBA finance with excellent analytical ability combined with commercial acumen.
- Advanced Excel user, proficiency with MS Office, SQL, One Stream, NetSuite and Oracle applications.
- Dynamic and enthusiastic individual with personal impact able to gain credibility across the business.
- Strong communication skills and proactive approach to build relationship with a diverse stakeholders group.
- Strong communicator able to draw out key risks and opportunities from business information, at both granular and strategic levels.
Primary Responsibilities
- Support on the Financial planning and analysis of major product stream; Patent Renewal & Recordals businesses.
- Maintain and implement, as necessary, strong controls and processes to ensure robust management and financial reporting.
- Accuracy of the financial reports to ensure that monthly Gross revenue and volume are reported correctly with valid justifications.
- Support in Preparation of annual Budget and forecast of business functions
- Explain any Budget/forecast variance vs actual performance and report significant discrepancies to the management.
- Support in Preparation of quarterly forecast and update the corporate challenges and opportunities in the forecast cycle and comparison against the monthly results.
- Manage high volume and high value transactions, ensure revenue assurance process viz a viz data feed from various system.
- Support Director and Finance Partner with the production of quarterly forecasts and budgets through the production of standard forecasting templates and providing detailed analysis and clarification as required
- Uploading the budget/forecast into One stream
- Managing the budget clearing house process for Technology.
- Identify weaknesses in financial control within the area of responsibility and implement appropriate solutions
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- Finance Director and Finance partner in IP Renewal team
- Central FP&A team
- Accounting team
- Technical team
Part of the wider FP&A group focusing on the Business Partnering as well as financial planning and analysis of IP Group, which is on one of the larger segments among other Clarivate service domain. The team consists of 6 heads and is reporting to the Director-Finance.
Hours of Work
- This is a fixed term role till Dec 2026, requiring 40 working hours per week based out of Noida, India (IST). Should be flexible to support UK and USA stakeholders.
- Work Mode-Hybrid as per Clarivate location
Skills
AccountingFinancial ControlFinancial Planning And AnalysisNetsuiteTransactionsAccountantCaFinanceIf an employer asks you to pay any kind of fee, please notify us immediately. Jobaaj does not charge any fee from the applicants and we do not allow other companies also to do so.
About Company
Clarivate is a global leader in providing trusted insights and analytics to accelerate the pace of innovation. With a rich heritage of over 150 years, Clarivate empowers organizations across industries to make confident decisions, drive progress, and transform ideas into reality. Leveraging advanced technology and a vast network of experts, Clarivate delivers solutions for intellectual property, scientific and academic research, regulatory standards, and more. Clarivate Careers offers an exciting opportunity to be part of a dynamic team dedicated to shaping the future of innovation. Join Clarivate to unleash your potential and contribute to shaping a better world through knowledge and expertise.
Important dates & deadlines?
Application Deadline
24 May 26, 02:00 PM IST
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