Description
Job Description
Reconcile stock accounts by researching and correcting discrepancies
Prepare journal entries and maintain ledgers to support the accurate recording of transactions
Highly interactive with business teams such as supply chain, merchandising and accounts payable teams to resolve inventory valuation issues
Responsibility for monthly inventory accounting close - including revaluation, calculation of landed cost and provisioning
Responsibility for understanding, managing and reconciling key balance sheet accounts including inventory, GRNI
Responsible for stock in-take planning
Be the key audit point of contact for inventory accounts
Identify and implement areas for improvement in the balance sheet process
Work with other parts of the business; to understand risks and opportunities across a range of locations; including the ability to challenge; monitor; communicate and propose solutions