A Typical Workday As a part of the Finance team, you will be responsible for auditing and reconciliation of revenue and cost in the fulfillment vertical of the business. In this role, you would be playing a crucial role in managing the fulfillment Pn L, cash flow, and expense management. Your day-to-day would revolve around building systems and reports to actively monitor leakages within the organization and work with management to set up the right process for efficient financial decision-making. Responsibilities
Manage client’s Invoicing and Disputes – from invoicing to billing dispute resolution end to end.
Play an active role in Receivable management through appropriate calls and Email follow-ups on time.
Diligently monitor COD cash flow and manage payable/receivables on a daily basis to help plan vendor payment cycles and other expense payouts
Publish daily receivable and dispute progress reports to streamline revenue realization.
Track and monitor expense payouts across different functions. Work with senior management to plug pilferage through the identification of process gaps and setting the right framework for decision-making.
Manage data requirements of Multiple audits, corporate finance & MIS reporting.
Ensure client & internal Service Level Agreements (SLA) and timelines are met for all requirements.
Must Haves
Expertise in Excel, Power Point, and Data Visualization tools like Data studio/Looker.
Excellent attention to detail. Focus on delivering results and achieving SLA-based targets.
Basic knowledge of Logistic/Supply Chain domain.
Good written and communication skills with strong business acumen.
Ability to multi-task and work on a diverse range of requirements simultaneously.
A curious mind always looking to learn, understand and grow in a fast-paced environment