Manage back-office transaction processing with IBM ensuring smooth day-to-day operations and timely payments to vendors.
Maintaining a healthy ageing of vendor balances. Ensure vendor balances are reconciled as per the guidelines set by management.
Provide necessary support in executing product cost strategies, i.e., defining standard cost, overhead allocation basis, etc.
Responsible to perform inventory valuation at each reporting period ensuring timely & accurate reporting. Analyzing variances and deriving actions to address any variations.
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