We are looking for a Trade Funds Accountantwho is a self-starter with ability to work independently and oversee customer deductions, trade payments process of trade spends accruals and hasa knack for addressing root causes.
This position also supports Sales and works closely with internal and external customers to ensure the prompt resolution of customer deductions.
Requirements: - Administrate and enforce deduction management and trade payment policies
- Develop relationships with internal and external customers to ensure a constant focus on the achievement of trade fund and deduction targets
- Work with brokers and customers to ensure backup is received timely
- Upload and Pull backup and code correctly deductions to their respective accounts
- Work with cross-functional teams to research/validate/dispute/resolve non-trade deductions
- Proactively identify trends and assist in implementing processes to prevent invalid deductions
- Process journal entries and assist with trade spend accruals
- Make decisions that will directly impact the organization's cash flow & profitability
- Provide monthly financial reporting and analysis to ensure data and system integrity
- Provide ad-hoc reporting and analysis
- Supply deduction management support to Sales team
- Assist with other areas of Operational Accounting, as needed