Sales Audit Reconciliation Accountant

Revzilla - City Of Philadelphia
new offer (16/06/2024)

job description

Job Description
The Accounting &
Finance Department at Comoto consists of highly motivated people who are encouraged to bring their skills and initiatives to the table. They drive efficiency and change to improve internal systems and processes through skills, development, and collaboration. We operate in a fast-paced, changing environment.
This role will be part of the Accounting team and will report directly to the Assistant Controller. The Sales Audit Reconciliation Accountantis responsible for assisting the accounting team in creating accurate and timely financial records for the organization. You must be someone who can work independently and be able to understand basic to moderate accounting concepts. Clear communication skills, documentation skills, accuracy, and attention to detail are key requirements.
Our Next Sales Audit Reconciliation AccountantWill:
Communicate with Store Leadership on various store-related queries
Work with 3rd party payment processors and troubleshoot any technical issues
Assist in month-end close procedures and ensure that deadlines are met.
Actively assist in the year-end audit to ensure timely and successful completion.
Develop and implement proper keeping of financial records, making use of current technologies.
Reconcile each period all assigned balance sheet accounts, including but not limited to:
Trintech bank account reconciliation (cash &
credit card receipts)
JPMC account reconciliation for Operating, Concentration, Payroll, and USPS accounts
Review, research, and ensure Credit Card receipts and chargebacks comply with Accounting Policies and Procedures.
Gift Card reconciliations and provide support to stores on the proper processing of the transactions.
Manage Loomis, Cycle Gear’s cash vault services company, for accurate and timely pick-up of store cash deposits. Reconcile monthly Loomis billing to actual performance.
New Store Opening implementation for MID’s &
Loomis and the cash vault
Customer returns via issue check – verification of documentation and original form of payment and forwarding of information to A/P for processing.Reconciling the Customer Returns GL account.
Sunbit – monitoring all Sunbit returns are forwarded to Sunbit and the returns are issued to the customer by Sunbit.

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Sales Audit Reconciliation Accountant

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