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Account Payable Assistant (Trade Claim)

  • Posted 16 hours ago
  • Be among the first 10 applicants

Job Description

About The Company

FMCG

About The Job

  • Trade Spend Monitoring and Analysis
  • Perform monthly analysis of actual trade spend against approved budgets and plans.
  • Ensure trade spend data is accurate, complete, and updated in SAP and trade spend management systems.
  • Ensure trade spend is properly accrued and recognized in the correct accounting period. Identify and highlight variances, or potential overspending to management and commercial teams.
  • Invoice Processing and Control
  • Ensure all trade-related invoices are captured accurately and on a timely basis in SAP.
  • Validate invoice details including amount, vendor, promotion reference, and billing

period.

  • Regularly check and reconcile SAP aging with trade spend management records to ensure alignment.
  • Follow up on missing, delayed, or incorrect invoices with vendors and internal teams.
  • Commercial Claim Validation
  • Review and validate all trade and commercial claims to ensure they are valid, accurate, and TTA compliant.
  • Ensure all supporting documents are complete, accurate, and properly approved according to the COA approval matrix.
  • Detect discrepancies, duplicate claims, or non-compliant submissions.
  • Communicate and resolve claim disputes or inconsistencies with relevant stakeholders in a timely and professional manner.
  • Maintain proper documentation audit trail for all claims
  • Payment Coordination and Submission
  • Consolidate validated and approved claims/invoices for submission to Accounts Payable (AP).
  • Ensure payment requests are accurate, complete, and compliant with payment terms.
  • Coordinate closely with AP to ensure timely payment execution and resolution of payment-related issues and audit trails for all claims processed.
  • Statement of Account (SOA) Reconciliation
  • Perform monthly SOA reconciliations with customers, distributors, or vendors.
  • Investigate, explain, and resolve differences between company records and external statements.
  • Ensure reconciliations are completed accurately, on time, and well documented.
  • Others
  • Support internal and external audits by providing required documentation and explanations.
  • Prepare ad-hoc reports or analysis related to trade claims, spend, or reconciliations when required.
  • Work collaboratively with Sales, Commercial and Finance.

About The Manager/team

Reports to Trade Claim Team Lead

More Info

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About Company

Job ID: 152119393

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