Responsible for Contractor Payables and Log Sales Receivables; setting up multi-jurisdictional, multi-phase contracts for Barkie Purchase, Logging and Log Sales, as well as tracking and validating loads for payables/receivables, and preparing various GL Account reconciliations.
Resource/Production Accounting Duties:
Job Set-up - ensures new Jobs are setup in a timely manner for Barkie Receiving; and ensures yard staff are clear on any job specific receiving requirements; Manages active Jobs list in receiving/scale program to reduce risk of yard staff receiving (and thereby paying for) loads on incorrect or expired Contracts.
Contract Setup - reviews and creates complex Contracts for Purchase or Logging in Fiber Track (FT) Procurement System; works with multiple Foresters and Production Accountant to ensure multi-phase contracts are set up properly for Contractor AP and Log AR.
Verifies all loads are entered and valid for multiple Weekly Contractor payrolls/check runs; approves pay statement load details for volumes, rates, pay splits etc. ensuring load triggers proper payments/deductions and/or accruals/depletion transactions to meet contractual requirements and/or Company Accounting Policy
Verifies weekly Prepaid Stumpage and/or Road Depletion transactions; monitoring the depletion of Prepaid Timber Expenses
Reviewing Coding and Posting Payables as assigned for Job Costing in Fiber Track (FT);
Entry and reconciliation of complex Government payables for Stumpage and/or Severance Taxes.
Reconciling Log Sales on a load-by-load basis ensuring Mills have paid the proper contract rates and volumes.
Handling Timber Supplier inquires on Load based Payments
Daily imports/exports of data from local scale software to Master Scale database and exports to FT contractor pay system; all staff engaged in moving data through the system for daily validation of loads and daily updates of inventory.
Daily Log Scale Bureau imports; all staff engaged in importing scale data from Bureaus
Works with Scaling Bureaus as necessary to resolve data transmission and/or scale data issues from daily imports.
Provides assistance to Foresters in preparation of Internal Contract (JCW) templates including upload to Company's Share Point Site.
Provides backup for Production Accountant on critical duties such as Bonding, Bid Deposits etc. as/when needed.
General Accounting Duties:
Reconciles various GL Accounts as assigned and prepares Working Papers monthly
Ongoing reconciliation of Barkie inventories (Pieces) between Scale and Contractor Pay system; ensuring all loads are current and straggler tags/pieces are resolved
Tracks and reports Insurance Certificates status of Contractors available for annual audit
Assists with data entry of Annual Pole Inventory Counts
Provides Back up to Junior Clerk for New Vendor Setup; and other duties as necessary
Provides assistance as necessary in annual 1099 Preparation
Participates and contributes to company safety program.
Performs other related duties as assigned.
Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions of this position.
Qualifications:
Education: Associate's degree (A.A.) or equivalent from two-year college or technical school
Experience: Two to three years' Accounting experience
License/Certification: NA
Knowledge, Skills and Abilities:
Knowledge of FOB points, state sales tax laws and rates, EDI
Microsoft Suite
Knowledge of state sales tax laws
Ability to problem solve
Ability to meet multiple weekly and month-end deadlines; prioritizing and organizing workload to ensure the entire department is able to meet competing deadlines