Accountant, Cost & Inventory at Nutrien
Saskatoon, SK, Canada -
Full Time


Start Date

Immediate

Expiry Date

18 Oct, 25

Salary

0.0

Posted On

19 Jul, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

THIS POSITION IS REQUIRED TO BE ON-SITE AND IS LOCATED IN SASKATOON, SK.

Nutrien is a leading provider of crop inputs and services, and our business results make a positive impact on the world. Our purpose, Feeding the Future, is the reason we come to work each day. We’re guided by our culture of care and our core values: safety, inclusion, integrity, and results. When we say we care, we mean it. We’re creating an inclusive workplace where everyone feels safe, has a sense of belonging, trusts one another, and acts with integrity.
Through the collective expertise of our nearly 26,000 employees, we operate a world-class network of production, distribution, and ag retail facilities. We efficiently serve growers’ needs and strive to provide a more profitable, sustainable, and secure future for all stakeholders. Help us raise the expectation of what an agriculture company can be and grow your career with Nutrien.

Responsibilities
  • Prepare reports to support allocation of month-end inventory costs across assigned plants and products.
  • Post monthly JEs and ensure accurate reporting for plant costs.
  • Coordinate Terminal Inventory Reconciliations as well as Terminal Inventory tracking.
  • Enter required bottoming adjustments & shrinks/overages to keep system inventory levels accurate.
  • Provide support and act as a point of contact with plant accountants.
  • Reconcile various balance sheet accounts and provide quarterly variance analysis.
  • Ensure SOX compliance and provide recommendations to senior management on developing controls.
  • Prepare balance sheet reconciliations in Blackline reconciliation tool.
  • Understand existing accounting processes and develop ongoing process changes to increase efficiency.
  • Verify, maintain, and troubleshoot issues within the HANA database tool.
  • Post journal entries as required to ensure accurate Freight and T&D (FT&D) reporting.
  • Maintain indirect FT&D cost allocation rates and ensure the related prepaid assets are accurate through various analysis.
  • Collaborate with various departments to lead and execute ongoing process improvement initiatives and assist with identifying new areas for improvement.
  • Execute required system testing for upgrade/enhancements to software.
  • Aid with ad hoc queries requested by senior management or other departments as applicable.
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