This position is responsible for ensuring accurate financial information through invoicing journal entries and general ledger account reconciliations. This position requires an individual who is resourceful a good problem solver and well organized while assuring a steady workload in a timely manner.
Perform accounting functions and support in various accounting tasks including:
- Prepare data from database reporting tools for ERP system entry by compiling and sorting information and establishing entry priorities.
- Understand and support allocations by divisions department routes brands and store groups across multiple platforms
- Maintain various general ledger accounts by verifying allocating and posting journal entries
- Post Deposit and PayPal transfers on banking websites
- Prepare data for Broker/Distributor payments by tracking sales vs. promotional allowances and reclamation payments and deductions.
- Prepare documents for year-end audit
- Design and Prepare profitability reporting for distributor and warehouse customers
- Resolves promotional Ad fees Scan backs and allowances by researching and forwarding to managers for approval.
- Tracking current customer accrual status by collecting rebate and incentive amounts vs. spend and payout
- Work closely with Customer Relations Distributors individual to properly accrue and account for all activity Distributor related.
- Cross-train across multiple disciplines within the Finance team (Cash Applications Accounts Payable Accounts Receivable Inventory Purchasing)
- Prepare special reports and complete special projects as assigned.
- Perform additional duties as necessary.
Serve as the backup resource for Customer Relations Distributors including but not limited to:
- Process purchase orders BOLs and invoicing
- Process EDI transactions incoming and outgoing
- Provide customer service to Distributors and Sales Representatives with timely responses to inquiries
- Create and process transfer orders for Event consignment product including coordinating with warehouses and drivers.
- Perform additional duties as necessary.
Required Experience:
Staff IC
This position is responsible for ensuring accurate financial information through invoicing journal entries and general ledger account reconciliations. This position requires an individual who is resourceful a good problem solver and well organized while assuring a steady workload in a timely manner....
This position is responsible for ensuring accurate financial information through invoicing journal entries and general ledger account reconciliations. This position requires an individual who is resourceful a good problem solver and well organized while assuring a steady workload in a timely manner.
Perform accounting functions and support in various accounting tasks including:
- Prepare data from database reporting tools for ERP system entry by compiling and sorting information and establishing entry priorities.
- Understand and support allocations by divisions department routes brands and store groups across multiple platforms
- Maintain various general ledger accounts by verifying allocating and posting journal entries
- Post Deposit and PayPal transfers on banking websites
- Prepare data for Broker/Distributor payments by tracking sales vs. promotional allowances and reclamation payments and deductions.
- Prepare documents for year-end audit
- Design and Prepare profitability reporting for distributor and warehouse customers
- Resolves promotional Ad fees Scan backs and allowances by researching and forwarding to managers for approval.
- Tracking current customer accrual status by collecting rebate and incentive amounts vs. spend and payout
- Work closely with Customer Relations Distributors individual to properly accrue and account for all activity Distributor related.
- Cross-train across multiple disciplines within the Finance team (Cash Applications Accounts Payable Accounts Receivable Inventory Purchasing)
- Prepare special reports and complete special projects as assigned.
- Perform additional duties as necessary.
Serve as the backup resource for Customer Relations Distributors including but not limited to:
- Process purchase orders BOLs and invoicing
- Process EDI transactions incoming and outgoing
- Provide customer service to Distributors and Sales Representatives with timely responses to inquiries
- Create and process transfer orders for Event consignment product including coordinating with warehouses and drivers.
- Perform additional duties as necessary.
Required Experience:
Staff IC
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