Associates work directly with the stores to ensure the cash and inventory data is entered, correct and supported with the proper documentation. They also work with financial accountants to reconcile general ledger accounts that are directly tied to the store activity.
• Verify and analyze data received from store level & make necessary corrections in PDI.
• Assist Store Managers and District Managers with questions relating to information received from store level & any corrections that may be needed.
• Data entry.
• Create and maintain excel worksheets.
• Assist with reconciling data files.
• Account reconciliations.
• Other job related responsibilities as they arise and occasional overtime