Nida Khan
Finance Administrator @Nestlé
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WORK HISTORY
Finance Administrator @Nestlé
York, GB
Reconciliation of Customer Deductions: Ensuring all customer invoices and deductions are accurately reconciled- Investigating invalid deductions or recurring pricing issues and working with cross‑functional teams (Sales, Accounts Receivable, Finance) to prevent reoccurrence-Utilized advanced Excel and ERP tools (e.g, SAP) to streamline administrative and financial processes- Managed customer deductions and claims, ensuring compliance with company policies and contractual agreements-Oversaw accurate invoice processing and reconciliation, ensuring timely settlement and compliance
EDUCATION
BPP
Associate Chartered Accountancy, Accounting
Brunel University of London
Bsc Economics and accounting, Economics accounting
Beaconhouse
Alevels, Business, Economics, Accounting
ABOUT NIDA KHAN
Deductions executive at Nestle
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