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Our talented finance team partners with every area of the business to drive results and provide financial expertise. We are passionate about analyzing and interpreting information to assess performance and provide guidance. Our team serves as a true partner and advisor to all our business leaders; working with them to accelerate the company’s profitability and growth.
Job Responsibility:
Prepare journal entries and analyze accounts in accordance with generally accepted accounting principles
Partner with departments across the business to design and maintain robust accounting processes related to the balance sheet
Ensure sufficient controls and process improvements are in place, focusing on accuracy and efficiency through systemic and monitoring controls
Compile and post monthly journal entries, maintaining a two-day close, and conduct balance sheet reconciliations
Support internal and external audit requests and prepare/distribute USR Physical Inventory results
Collaborate with Store Operations, Loss Prevention, and Stores Finance teams to address inventory strategies and resolve related questions
Troubleshoot store tickets regarding on-hand inventory issues promptly to meet SLA requirements
Coordinate the Inventory Disposal Process for the USR business, including processing disposals and reconciling liquidation activity with third-party vendors
Serve as the subject matter expert on liquidation policies, practices, and agreements, ensuring our inventory is properly reflected and partners are paid accordingly
Requirements:
Bachelor’s degree or equivalent work experience
2-4 years of accounting experience
Passion for accuracy and process improvement within accounting operations
Strong analytical skills with the ability to organize, multitask, and work collaboratively on cross-functional teams
Excellent communication skills to explain financial results and partner with business stakeholders
Motivation to identify new ways to streamline processes and implement effective controls
Commitment to supporting the month-end close and preparation of financial statements for the Retail and NAD businesses
Nice to have:
Experience in a retail or multi-location environment is a plus
Demonstrated ability to support audits and collaborate across departments
Familiarity with inventory reconciliation and process improvement initiatives
What we offer:
Inclusive culture with associate-led Business Resource Groups
The opportunity to make a direct impact on the business and drive improvements in accounting processes