Maintaining Customer Credit Limits
Order Releasing according to policy
Ensure Reconciliation of customers on monthly basis
Performing Aging Analysis of Receivables and executing the follow up procedures as per discussion with HOD and Top Management.
Working on the enquiries of customers and providing them with necessary detail
Management of customer accounts (Verification of Customer Reconciliation and Resolving Discrepancies, if found in reconciliation.
Managing key accounts
Ensure customer payments
Verification of Bank Reconciliation Statements.
Investigating the Non-payment circumstances
Resolve conflicts and issues
Calculation and Verification of Sales Officer Incentive of Sales Staff of Company, based on monthly performance related to Sales and Collection.
Lesion with branches about payments and discounts
Prepare working regarding discounts
Handling of Replacement cases
Ensure delivery of FOC units
Posting of Credit Notes & Debit Notes
Follow up the recovery of overdue and outstanding as per agreed commitments
Monitoring the compliance of monthly sales and credit control policy
Handling different accounting matters, resolution of queries.
Responsibilities regarding ONLINE DEVISION
Ensure the ordering of ECOM division
Handling of Returns
B2B Reconciliation
Effective handling of promotions
Ensure pricing and deals
Bank reconciliation
Overdue Aging report
Strong follow up on supply chain