Support the Director Inventory Controls with adding value to the Finance Department and the company as they drive excellence in the monthly inventory reconciliation process.
Create inventory reconciliation events as needed to meet control requirements and established business practices.
Execute the review and reconciliation of the physical inventory records and inventory ledger on a monthly schedule, and additionally as needed.
Compile inventory reconciliation results and investigate any material variance between the ledger and physical inventory.
Routinely communicate reconciliation results to key NAPA Finance and Supply Chain partners.
Requirements
Bachelor’s degree in business analytics with a concentration in Finance preferred.
Minimum 1 year of experience with business analysis and reporting.
Proficiency using Microsoft PowerBI and Excel Power Query, PowerPivot.
Strong verbal skills and written communication skills with demonstrated ability to communicate complex topics to a variety of experience level.
Team player; demonstrate success working well with department leaders and peers.
Must be able to understand, explain, and solve complex problems.
Must be technologically astute at learning new business technologies.
Strong detail orientation and organization.
Ability to manage time effectively, multi-task, prioritize, and work well under tight timelines.