Assistant Finance And Distribution Manager
ADI Group
JOB FUNCTION:
- Collection
- Ensure 100% collection of payments completed based on the agreed timeline with the account
- Provide 100% complete collection details, per week cascaded to our collectors.
- Update of Accounts Receivables of all sales and CM transactions and posting of payments and other relevant reports example: AR Monthly Report of GB, ODI, MDI, MDC & In-House Account
- PO preparation, attending customer relations/complaints, managing price changes /monitoring.
- To Project monthly collection from Inhouse customers
- Vouching
- 100% error-free computations of all transactions by thoroughly checking the Sales Invoices, CM, Freight charges, SOA , Debit Notes, rates and others before CM approval
- 100% accuracy of details of Consumption report submitted to Distributors for invoicing
- Ensure monthly checking of sales and CM entered into the System
- Inventory
- Monthly/Quarterly Physical verification of Goods - as per books v/s actual physical inventory
- 100% reconciliation of Inventory as per books v/s warehouse record, books v/s ODI&GB records and Stock Loan
- 100% reconciliation of Inventory of consignment goods
- Submission of all monthly Inventory Reports such as Stock Donation, Marketing Samples
- Coordination
- Ensure smooth relationship with external customers thorugh the conduct of monthly consultation-meetings with distributors for GA/IS/ET concerns, and partner-banks for any related concerns, distributors and other government agencies (for LTO, Business Permits, etc.)
- Provide immediate assistance to Sales teams in addressing booking, pricing, and delivery concerns
- To handle all the hurdles come across within the department & to guide team-members
- Distribution
- To ensure smooth process of orders from receiving up to invoicing including checking of credit limit, payment terms, aging of outstanding
- Keep the Customers informed about the Rules of Engagement, Policies, change in the price, Tax applicability, product code etc
- To ensure swift transactions with Government Hospitals w.r.t. price difference, VAT, collections and documentation required by them to release payment
- To Visit customers for account reconciliation, to solve disputes etc
- Ensure timely updating of the SOPs
- Administrative
- Preparation of daily bank balances & request intra-transfer
- Sending bank statements to Finance 2 for receipts from employees, recon, and to ensure clearance of checks deposited
JOB REQUIREMENTS:
- Has a college degree in accounting
- With 5-7 years of experience in finance and distribution preferably in pharmaceutical sector
- Strong understanding of accounting principles
- Good analytical, problem-solving, and strategic thinking skills.
- Exceptional communication and interpersonal abilities, with the capacity to collaborate effectively across departments and clients
- Proficient on MS Office (Word, Excel, Powerpoint and Outlook)