Posted By
Posted in
Banking & Finance
Job Code
934956
- Responsible for customer reconciliation.
- Manage Returns Reco and Shortages reco.
- Discount working & Scheme Settlement
- Pricing working and Margin updation process, Commission Calculations understanding
- Cash Flow Management and Driving Collections
- Understanding Revenue Recognition in B2C, Market Place and passing the entries
- Credit Period & Customer Opening handling
- Audit Query Clarification in respect to E Com
- Managing the MIS reports and providing the same to seniors
- Assessing risk in receivables
- Return Accounting Process
- Provision Analysis and Proactive action on Risk
- Vendor reconciliation and code creation
- Logistic service provider coordination, COD reconciliation and obtaining NDC
- Brand wise cost allocation for networking vendors and closure
- To provide monthly Vendor expense Provision to accounts team (Logistic-coordinate )
- Conduct customer reconciliation for receivables
- Visiting Customer and building Relationship
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Posted By
Posted in
Banking & Finance
Job Code
934956