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Publicis Re:Sources in Manila supports AU and NZ media agencies by performing vendor reconciliations and controlling payable processes. The role focuses on accurate reconciliation of vendor statements, matching invoices to bookings, and raising variance queries to resolve discrepancies.
You will liaise with media teams and vendors to close gaps, ensure timely processing, and contribute to continuous improvement in reconciliation workflows. Strong Excel skills and accounting knowledge are valued.
Publicis Re:Sources is at the core of Publicis Groupe, the world's largest communications company. We are the only full-service, end-to-end shared service organization in the industry, enabling Groupe agencies to do what they do best: innovate and transform for their clients.
Formed in 1998 as a small team to service a few Publicis Groupe firms, Publicis Re:Sources has grown to 6,000+ employees in over 55 countries. We provide technology solutions and business services, including finance, accounting, legal, benefits, procurement, tax, real estate, treasury and risk management, information security, and global mobility — supporting 110,000+ employees across the Publicis Groupe network. Our people are at the center of everything we do, bringing curiosity, collaboration, and a commitment to excellence to their work every day.
Learn more about Publicis Re:Sources and the Publicis Groupe agencies we support at publicisresources.com
This role supports Publicis Groupe’s AU & NZ Media agencies in fulfilling periodic reconciliations of large to small scale media vendor accounts.
The focus of this role is to perform accurate vendor reconciliations from vendor’s statement of accounts; match vendor invoices to booked media activity; recognise discrepancies, raise variance account queries and resolve in a timely manner; perform corrections to booking data when required; investigate and resolve historic errors in an efficient manner. Liaise between media agency and vendors to resolve discrepancies.