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Associate Manager, Client Finance

precisionmedicinegroup Remote, United States


No Relocation

Posted: June 29, 2026

Job Description

Position Summary: 

The Associate Manager, Client Finance will review & manage the overall financial management for our client portfolio, reporting, general day-to-day activities, and related month end close duties. 

Essential functions of the job include but are not limited to:  

  • Supervise the overall monthly project accounting efforts including preparing and leading the majority of the monthly status meetings with project managers and managing project updates across financial trackers.  
  • Review & reconcile new contracts & assess related contracts/projects including understanding contract components of milestones/tasks and intercompany components & ensuring accuracy of project set up. 
  • Review/Address concerns around project tracking/funds compared to project budgets. Report and present project financials to project leads/stakeholders. 
  • Set up new clients in accounting systems and files including adding and mapping employees to new billable rates, and review of MSA's for rebates and discounts. 
  • Review intercompany revenue/cost transactions & updating shared financial trackers.
  • Manage Interco contract execution. Manage cost allocations compared to overall project budget & facilitate project scope changes with other finance teams & project leads. 
  • Manage business unit(s) project revenues and ensure compliance with client contracts including new contract awards updates and pickup of out of period revenue.
  • As the primary finance contact for business unit projects, understand and elevate potential issues to ensure proper accounting and revenue recognition in accordance with GAAP. 
  • Prepare monthly project revenue forecast and comparisons to budget/plan. 
  • Manage hours and expenses for client projects incurred to track against forecast, assigned roles/rates based on information provided by project leads including mapping of new roles and rates and other revenue/cost adjustments where applicable. 
  • Manage client invoicing based on contracts (including use of correct invoicing template and contracting entity and correct currency), reconcile issues and follow up with customers on past due invoices.
  • Manage unbilled revenue aging and adherence to client invoicing guidelines. 
  • Review and submit monthly client accruals. 
  • Consolidate accruals with other Precision entities as applicable. 
  • Review client business development opportunities in Salesforce and ensure accuracy across internal schedules and financial trackers. 
  • Review project costs compared to contracted amounts as well as other direct costs shared across projects/clients. 
  • Review set up and tracking of new employees and when applicable subcontractor hours/expenses/bill rates monthly compared to forecast and budget.
  • Manage subcontractor agreements and forecast future subcontractor costs with inputs from project leads as applicable. 
  • Review & reconcile monthly general ledger account reconciliations for accuracy and completeness. Collaborate with SG&A team where applicable 
  • Review the coding expense reports, invoices and/or credit card bookings to ensure proper approval to billable projects. 
  • Identify, allocate & review intercompany transactions 
  • Assist with ad hoc projects as applicable, including the annual budget preparation. Take the lead on budgeting for specific P&L line items as applicable. 
  • Review & reconcile supporting documents for the annual audit.
  • Prepare supporting documents & schedules for the audit.
  • Manage up where audit deliverables will require additional collaboration/input. 
  • Proactively identify cost savings and process efficiencies 
  • Collaborate with FP&A as applicable and proactively highlight & add commentary around key drivers for variance explanations to budget/forecast. 
  • Assist with preparation with revenue and expense inputs for reporting and analysis. 
  • Advise staff on best practices in approach to client finances and on non-routine financial transactions. Manage & mentor direct reports & junior staff through career development. 
  • Play a part in the month end close process and begin to oversee some areas.   
  • Mentor and/or manage junior staff members.  

Qualifications: 

Minimum Required: 

  • Bachelor’s degree with a minimum concentration accounting, finance or business 
  • 4+ years of relevant accounting/finance experience to include 1-2 years in a supervisory role 

Other Required: 

  • Intermediate to advanced Microsoft Excel skills 

Preferred: 

  • Agency or Professional Services experience a plus 
  • Month end close experience 
  • Revenue Recognition experience 
  • Project Accounting experience 
  • Client Services/Client Facing experience 

Skills:  

  • Excellent client service including mutual respect and approach to communications as well as timeliness of responses 
  • Deadline-oriented with good time management and organizational skills 
  • Proven critical thinking, analytical, interpretative, and problem-solving skills 
  • Ability to process and analyze large volumes of qualitative and quantitative information 
  • Ability to multitask with great attention to detail, and high level of accountability 
  • Display passion and purpose for what we do 
  • Communication (oral and written) with ability to speak with all levels of the organization 
  • Strong interpersonal and relationship building skills, and an ability to build credibility with external and internal stakeholders 
  • Possesses ethics and integrity when dealing with confidential and sensitive information.
  • Willingness to extend yourself and assist other team members 
  • Self-starting attitude with a strong desire to learn and grow rapidly 

#LI-REMOTE

 

Additional Content

Position Summary: 

The Associate Manager, Client Finance will review & manage the overall financial management for our client portfolio, reporting, general day-to-day activities, and related month end close duties. 

Essential functions of the job include but are not limited to:  

  • Supervise the overall monthly project accounting efforts including preparing and leading the majority of the monthly status meetings with project managers and managing project updates across financial trackers.  
  • Review & reconcile new contracts & assess related contracts/projects including understanding contract components of milestones/tasks and intercompany components & ensuring accuracy of project set up. 
  • Review/Address concerns around project tracking/funds compared to project budgets. Report and present project financials to project leads/stakeholders. 
  • Set up new clients in accounting systems and files including adding and mapping employees to new billable rates, and review of MSA's for rebates and discounts. 
  • Review intercompany revenue/cost transactions & updating shared financial trackers.
  • Manage Interco contract execution. Manage cost allocations compared to overall project budget & facilitate project scope changes with other finance teams & project leads. 
  • Manage business unit(s) project revenues and ensure compliance with client contracts including new contract awards updates and pickup of out of period revenue.
  • As the primary finance contact for business unit projects, understand and elevate potential issues to ensure proper accounting and revenue recognition in accordance with GAAP. 
  • Prepare monthly project revenue forecast and comparisons to budget/plan. 
  • Manage hours and expenses for client projects incurred to track against forecast, assigned roles/rates based on information provided by project leads including mapping of new roles and rates and other revenue/cost adjustments where applicable. 
  • Manage client invoicing based on contracts (including use of correct invoicing template and contracting entity and correct currency), reconcile issues and follow up with customers on past due invoices.
  • Manage unbilled revenue aging and adherence to client invoicing guidelines. 
  • Review and submit monthly client accruals. 
  • Consolidate accruals with other Precision entities as applicable. 
  • Review client business development opportunities in Salesforce and ensure accuracy across internal schedules and financial trackers. 
  • Review project costs compared to contracted amounts as well as other direct costs shared across projects/clients. 
  • Review set up and tracking of new employees and when applicable subcontractor hours/expenses/bill rates monthly compared to forecast and budget.
  • Manage subcontractor agreements and forecast future subcontractor costs with inputs from project leads as applicable. 
  • Review & reconcile monthly general ledger account reconciliations for accuracy and completeness. Collaborate with SG&A team where applicable 
  • Review the coding expense reports, invoices and/or credit card bookings to ensure proper approval to billable projects. 
  • Identify, allocate & review intercompany transactions 
  • Assist with ad hoc projects as applicable, including the annual budget preparation. Take the lead on budgeting for specific P&L line items as applicable. 
  • Review & reconcile supporting documents for the annual audit.
  • Prepare supporting documents & schedules for the audit.
  • Manage up where audit deliverables will require additional collaboration/input. 
  • Proactively identify cost savings and process efficiencies 
  • Collaborate with FP&A as applicable and proactively highlight & add commentary around key drivers for variance explanations to budget/forecast. 
  • Assist with preparation with revenue and expense inputs for reporting and analysis. 
  • Advise staff on best practices in approach to client finances and on non-routine financial transactions. Manage & mentor direct reports & junior staff through career development. 
  • Play a part in the month end close process and begin to oversee some areas.   
  • Mentor and/or manage junior staff members.  

Qualifications: 

Minimum Required: 

  • Bachelor’s degree with a minimum concentration accounting, finance or business 
  • 4+ years of relevant accounting/finance experience to include 1-2 years in a supervisory role 

Other Required: 

  • Intermediate to advanced Microsoft Excel skills 

Preferred: 

  • Agency or Professional Services experience a plus 
  • Month end close experience 
  • Revenue Recognition experience 
  • Project Accounting experience 
  • Client Services/Client Facing experience 

Skills:  

  • Excellent client service including mutual respect and approach to communications as well as timeliness of responses 
  • Deadline-oriented with good time management and organizational skills 
  • Proven critical thinking, analytical, interpretative, and problem-solving skills 
  • Ability to process and analyze large volumes of qualitative and quantitative information 
  • Ability to multitask with great attention to detail, and high level of accountability 
  • Display passion and purpose for what we do 
  • Communication (oral and written) with ability to speak with all levels of the organization 
  • Strong interpersonal and relationship building skills, and an ability to build credibility with external and internal stakeholders 
  • Possesses ethics and integrity when dealing with confidential and sensitive information.
  • Willingness to extend yourself and assist other team members 
  • Self-starting attitude with a strong desire to learn and grow rapidly 

#LI-REMOTE