Job Description
Business Partnership
Unbilled:
Coordinate with business teams for monthly Rev Projection and discussion on variances
Follow-up on unbilled with business teams
Confirming validity of payouts and ensuring timely RO release
Ensuring 3-way matching for client invoice processing
Ensuring client billing is done within given timelines
Accounts Receivable:
Follow up with business team on overdue accounts to ensure timely collections
Ensure timely settlement of collections/on account payments
Ensure timely reporting of aged balances
Accounts Payable:
Managing payable process including cost verification and payment to vendors
Bank Master file review uploaded on bank online portal
Review of old aged media and non-media balances and discuss with BU CFO/business teams
Vendor advance control and discussion with business teams for settlements
Others:
Coordination with MDM team and ensuring all client & vendor registration requirements are met
Check all staff reimbursements and ensure all expense & claims are in-line with company policies
Commercial
Client Contracts:
Review, management and custody
Coordination with Legal Team, Business team & clients for contract closure
Maintaining R&G Schedule and client pass-back provisions
Revenue Assurance:
Ensure only compliant revenue is considered for P&L Reporting
Reporting & Control
MIS & Reporting:
Preparation and Review of various reports – Budgets, Re-forecasts, MFF and related details and reports for closure of Month End Reporting such as Summary P&L, Balance Sheet, CPS, MFR etc.
Account Receivable reporting & control
Review & approve workings all vouchers/invoices/entries before posting in AX
Auditing:
Coordinating with Ops Finance and FCFR to ensure all required details and documents are provided in a timely manner
Review of Month End checklist and other documents to comply with Internal audit requirements
Client & Vendor Registration
Approval and coordination with MDM team for registration
Required - 5 + years relevant experience in FP&A.
Core FP&A Skills
- Budgeting and Annual Operating Plan (AOP) preparation
- Forecasting (monthly, quarterly, and annual)
- Financial modeling and scenario analysis
- Variance analysis (Actual vs Budget vs Forecast)
- Revenue, cost, and profitability analysis
- Cash flow planning and analysis
- Long-range strategic planning
- Management reporting and MIS
- Strong understanding of P&L, Balance Sheet, and Cash Flow statements
- Knowledge of accounting principles and financial controls
- Cost accounting and margin analysis
- Financial statement analysis
- Working capital management
Mumbai
Brand:
Dentsu
Time Type:
Full time
Contract Type:
Permanent
Skills
AccountingAccounting PrinciplesAccountsBudgetingCash Flow StatementsAccounts PayableAccounts ReceivableCash FlowCollectionsFinancial ControlsCost AccountingFinancial StatementInvoice ProcessingManagement ReportingVouchersBalance SheetCfoFinanceBillingCashIf a job posting appears fraudulent, asks for payment, contains misleading information, or violates our guidelines, please report it immediately. Our team will review it promptly, Jobaaj does not charge any fee from the applicants.
About Company
Important dates & deadlines?
Application Deadline
16 Oct 26, 01:34 PM IST
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