Finance Jobs in Canada With Visa Sponsorship

PepsiCo

Finance Asst Coordinator

Full Job Description

Overview

The Sales Accounting Associate is responsible processing commissions for the Field Sales Representatives weekly and responding to all related questions. In addition, the Sales Accounting Associate will process and provide support related to Field Controls related enquiries and reporting.
The Company
PepsiCo Canada is recognized as one of Canada’s top 100 employers. PepsiCo products are enjoyed by consumers more than one billion times a day in more than 200 countries and territories around the world.
Our product portfolio includes 22 world-famous, billion-dollar brands; from Gatorade to Quaker, Tropicana to Lay’s and more. We make hundreds of enjoyable foods and beverages that are loved throughout the world.
PepsiCo’s effort to help build a more sustainable food system represents a key element of the company’s broader vision of accelerated, sustainable growth known as Winning with Purpose. As part of this vision, PepsiCo is striving to be a better company by further integrating purpose into the core of its business and brands and doing even more for people and the planet. Our purpose efforts include fostering a diverse and inclusive work environment, supporting the communities where we live and work, and improving choices in our portfolio through reformulations and new products.

At PepsiCo Canada, we are focused on delighting our consumers by delivering high-quality products and exciting brand campaigns. Our people are critical to our success and by supporting their personal growth and development and providing them with the tools they need to succeed, PepsiCo Canada is a company you’ll be proud to join!

Responsibilities

  • Ensure weekly commissions, supporting Audit packages and other supporting documents are accurate and submitted before payroll deadlines.
  • Process in-coming and out-going mail, couriers, fold and mail weekly cheques.
  • Process payment remittances accurately including research and cheque scanning
  • Monitor and report to management any transactions which appear to be irregular or unusual.
  • Provide support to the field related to balances outstanding or missing documentation and investigate issues to provide resolution.
  • Process Field “stuck” transactions to flow through our systems
  • Process Field Inventory adjustments

Qualifications

  • Basic accounting knowledge
  • Strong problem solving and analytical skills
  • Intermediate knowledge of Microsoft Word and Excel
  • Excellent organizational skills
  • Good written and verbal communication skills
  • Strong data entry skills
  • Attention to detail
  • Work under pressure and meet deadlines
  • Work independently and as a team member
  • Continuous improvement advocate
What you can expect from us:
  • Competitive compensation, benefits, pension, RRSP contribution and vacation time
  • A flexible working environment that promotes a healthy work-life balance
  • A dynamic and inclusive culture that promotes you to bring your whole-self to work
  • A supportive team that will encourage your professional growth and development
  • An opportunity to be meaningful and impactful within your work and projects
  • An opportunity to give back to the community with our Always on Volunteer 360 Program
  • An organization that aims to use their scale, reach and expertise to build a more sustainable world

To apply for this job please visit ca.indeed.com.