Order to Cash Operations Analyst
Designation: Order to Cash Operations Analyst
Qualifications:Any GraduationYears of Experience:3 to 5 years
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What would you do? As part of the Finance Central Support Team, you will perform critical accounting, payroll, reporting, reconciliation, and financial operations on behalf of Shoppers Drug Mart (SDM) stores. This team ensures accuracy, standardization, improved compliance, and operational efficiency across the SDM store network.SUMMARY
The Finance Central Support Team provides end-to-end financial processing support to SDM stores across four towers: OTC – Order to Cash
Team members ensure that all financial processes—from vendor payments and cash posting to payroll and period-end reporting—are completed accurately, on time, and in alignment with corporate policies and regulatory requirements.What are we looking for? Additional Must have skill required
Order to Cash
Additional Good To Have Skill Required
Order to Cash
Soft skills required
Ability to perform under pressure, Problem solving skills, written and verbal communication, Ability to handle disputes, Collaboration & interpersonal skills
Roles and Responsibilities: •DUTIES & RESPONSIBILITIES
ORDER TO CASH (OTC)
Scope: Accounts Receivable, Cash Reconciliation, Store Receivables Support
Core Responsibilities
Input and reconcile customer charges and payments for Local AR and in LITES AR system for Quebec.
Process and reconcile AR subledger adjustments.
Review AR aging reports each period, conduct follow-ups on outstanding balances.
Complete Vendor Claim Reconciliations and submit to Central Office on schedule.
Set up AR and billing for store-to-store receivables.
Generate and distribute customer AR statements.
Maintain customer account profiles, ensuring data accuracy.
Reconcile daily cash register sales; investigate cash overages or shortages.
Ensure proper posting of daily deposits (cash and EFT) to the bank.
Expanded OTC Responsibilities (AP/AR Optimization & Cross Functional Collaboration)
Review and process accounts payable transactions where OTC overlap occurs (e.g., refunds, chargebacks).
Collaborate with internal stakeholders including Accounting, Operations, and Treasury teams.
Support internal and external audit requests by preparing documentation and reconciliations.
Participate in productivity improvement initiatives related to receivables, deposit accuracy, and store cash workflows.
Assist with processing disbursements including cheques, (where OTC/AR intersects with AP). Record journal entries where required.
OTC Profile – What You Bring
Minimum 3 years of experience in accounting/AP/AR preferred.
Strong understanding of receivables and disbursements best practices.
Ability to analyze processes and propose efficiency improvements.
Strong English verbal and written communication skills.
Ability to work independently and collaboratively.
Strong time management and attention to detail.
SAP experience is an asset.
Ability to prioritize and manage multiple tasks in a fast-paced environment.