Finance Roles and Responsibilities
Finance Roles and Responsibilities
Controller
Contract
Finance Accounting & Accounts Admin./Financial Information
Project Management
Reporting Receivable Planning & Technology
Business Support
CONTROLLER PROJECT MANAGEMENT
Cheques Sign-off
Legal: Liaison w/FTW Legal & Local Legal Counsel Expenses - Annual Filing
Liaison with Home Office and Other Affiliates Policy & Process Development - Monthly Payments
Review and Approve, CMA, CPPI and POK deals Quarterly Income Tax
Review and Approve Budget Submission Provincial & Sales Tax Audits
GOA Delegation
Consignment Accounts
Administration Set-up & Administration Set-up & System Administration Ad Hoc Queries Journal Entries Set-up
Employee Queries Sales Tax and Item Master Set-up &
Relating to Pay Statemt. Visa Expense Reporting Train New Users GST Filing AAI Maintenance Maintenance
Communicate any changes to Royalty/Dividend: Inter-Company Bank G/L
Journal Entries Problem Resolution users - Reconciliation Eval Pool Monitoring
APL Payment
- Y/E NR4 Prep. 3-Way Matching
Third Party Payments Reporting - CRA Filing/Paymt Post Sales to G/L (Inventory)
Consolidation of Balance Sheet Inventory Journal
Government Reporting G/L Interface Income Tax Filing Reconciliations Entries
Cost Centre Account Approval of Invent.
T4; T4A; T2200 Problem Resolution Set-up Adjustments
Vacation and Sick Time
Reconciliation Audits User Define Codes User Define Codes
- No Access in Finance
- Inefficient Process
- Return Access to Finance
FINANCE ACCOUNTING & REPORTING
Fixed Assets Financial Reporting Budget Administration Business Partners Audits Corporate Policy
Schedule Preparation
Presentation Files
FINANCE ACCOUNTING & REPORTING
Accounts Payable
Collections Business
Reconciliations Reporting Credit Contracts Budget
Customer Accounts Partnership
Customer Contact G/L Reconcilitation Between Month End A/R Liaise w/FTW &
(phone, fax, e-mail) to A/P & A/R Reconciliation
Month End Reports: Credit Applications Local Legal Counsel A/R Balances Refractive
collect outstanding - Run ATB Stmts Review & Amend
balances Investigate Discrepancies - Disc Stmt/Write Off contracts (Refract., Balance Sheet
Between A/R & G/L Stmt Order Release Commercial) Support Information
Liaise w/Third Party Customer Account Month End Report: DSO (Days Sales
Collection Agencies Reconciliations on DSO & A/R Balance Credit Reviews Co-Op Scandowns: Outstanding)
Review & Approve Deduction & Pay-
Investigate and Resolution Reserve Report Over ment Management
of Customer Issues 90 Days Comments Credit Determination Bad Debt Reserve
Reforecast Bad Debt Payment Terms Per
Cheque Requests and A/R Balances Customer
Buying Group
Initiate Credits/Debits Statement/Rebate
Customer Queries
TREASURY
Upside Contract
Business Support Administration Reporting Vendor Contracts
Management System
Log:
Contract/Customer
Monitoring of Sales and - Contract Local Reporting FTW Reporting Type Confidentiality Set-up &Maintenance
Reporting
Expenses Admin & CMS Agreements Vendor Sls Contracts
Proper Signatures for Commentary on Sales, PRP Reconciliations Liaise w/FTW Legal Follow-up on CMS
ESSBase Support quotes (IRIS) & RFP Daily Sales Reports Martketing & Dir.Selling, and Reports on contract queries Ticklers w/ACI staff
Expenses for P&L
Financial Analysis & System Maintenance, ie Follow-up w/ ACI Forward Signed
Narrative
Support to Sales & LAN, IRIS PMPRB Reporting (Gov't) Volume Compliance staff re contract Contracts to CMS
Marketing teams Account status
Testing SALSA audit Prep. & Submission of
Visits
software SMT Balanced Scorecard Monthly Forecasts Capitative Accounts
Co-Op and Scandown Reporting SALSA errors to Sls Narr.Co-ordination, Contract
Process Management IT PRP Monthly Reconcil. Prep & Submission Reconciliation:
and reconciliation Item Master data entry & Reporting Cycle/Service Reforecast Templates - CPPI
branch plant set-ups Count Results Creation - PRP
- Cap.
Corporate Policy Enforce- Reporting Support for: - Rebates
ment & Education Sales; Materials & CA
Monthly Sales
Reconciliations
Finance Balanced
Scorecard
CONTRACT ADMINISTRATION AND FINANCIAL PLANNING & BUSINESS SUPPORT
Send to FTW Legal for Custom Pak/Pok Consignment Sales Reconciliations and Miscellaneous Set-ups Rebates
Review Development Report Preparation
Review Bid Present Consignment Quote, Financial Enforcement of Customer Service & Circulate Approvals for
Opportunities on Web Costing & Pricing Contract to Account Analysis Manual Invoices Pricing Guidelines Sales Support Payout
Tender Preparation Track Signed Contracts Send to FTW for Contract review, ie Data Entry: Groups; Calculate Rebate
and Submission Samples/Prototype in Data Base Legal Review Credit Preparation expiration date PRP; Non-PRP,etc. Amount
Run Consignment Non Pak Quote Rep. Support: PAK; Contract Level Clean Adj. Entries to DR or
AWD List Quotes Reports Preparation Physical Inventory POK; PRP; CPPI Up (Global Model) CR Rebate Accounts
Contact Sls to review Award Listing & PRP Financial Review & Monthly Reserve
document & request Build Initiation Set-up Analysis , App. of (Accruals)
IRIS Submission for Expired Contract Quotes and Paks Run JDE reports and
quote JDE Set-up Maintenance CA's
Coordination of
Pak: Equipment Billing
- Mass Replace
- Process Changes Equipment Credits
Contract Set-up & sent
to Customer
Why do we answer stock level & production Not receiving new product info/$/strategy on a
questions pak? Should be Materials! timely basis for real analysis quote preparation
(Marketing)