About MAD:
At MAD, we're more than a digital agency we're a creative collective blending design and storytelling to craft scroll-stopping, thumb-pausing brand moments. Our team works across industries, turning briefs into bold, strategic campaigns that don't just look good they perform.
Benefits at MAD:
We've worked hard to foster a flexible and employee-friendly culture. Some policies we're proud of include:
- Hybrid Working Model:
- Office on Tuesdays, Wednesdays, and Fridays. Mondays and Thursdays are remote (optional office access).
- Medical Insurance:
- Health insurance and accident coverage for all employees.
- Paid Extended Medical Leave:
- If you're unwell and unable to work, your sick leave remains protected.
- Annual Reset Leave:
- 57 days off at the end of the year so everyone can reset before the new year begins.
- Extended Work From Home:
- Flexibility to work remotely when travelling back home or when required.
- Compensatory Offs: If you work beyond regular hours, you receive comp offs along with travel and meal reimbursements.
Location: Koramangala, Bangalore (Hybrid)
Experience: 46 years
Role Overview:
As a Senior Finance Manager at MAD, you will lead the financial functions of the company, handling everything from strategic budgeting and forecasting to daily financial tasks. You'll work closely with the leadership team, including the founders and department heads, to ensure financial stability, compliance, and growth. Your role is essential in driving both operational efficiency and the financial success of the agency.
Responsibilities:
- Manage and execute core financial operations such as invoicing, payroll, vendor payments, and accounts receivable collections.
- Utilize Tally Software and other accounting platforms to manage financial records and reports with precision.
- Ensure compliance with all statutory regulations, including Provident Fund (PF), Professional Tax (PT), and Goods and Services Tax (GST).
- Develop financial models that support business planning and decision-making processes.
- Oversee the budgeting and forecasting process, ensuring accurate financial reports are provided to key stakeholders.
- Monitor and manage cash flow to optimize working capital and ensure financial liquidity. Build and maintain strong relationships with the client's finance team.
- Implement and refine financial policies and procedures to ensure regulatory compliance and operational best practices.
- Identify cost-saving opportunities and drive financial efficiency by managing costing activities.
- Collaborate across departments to find process improvement opportunities and drive automation for better operational efficiency.
- Prepare audit-ready schedules and documentation for annual financial statements.
- Support process documentation and contribute to internal control evaluations.
Your Qualifications:
- 5+ years of experience in finance, accounting, or a related field.
- Proficient in Tally software (very important)
- Strong Microsoft Excel / Google Sheets skills
- Strong experience in building and managing finance functions, ideally in an advertising or services business
- Ability to adapt to changing business needs and take on a generalist role.
- Deep understanding of financial reporting, budgeting, and forecasting, with a keen eye for detail.