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Mill Inventory Accounting Analyst
International PaperUnited Statesfull_timeVerifiedPosted 7 Mar 2025
💰 $87,000/yr($75,000/yr – $87,000/yr)
About the role
Position Title:
Financial Analyst Inventory Accounting
Pay Rate:
$75,000 – $87,000
Multiple factors, including Individual experience, skills and abilities will determine where an employee is ultimately placed in the pay range.
Category/Shift:
Salaried Full-Time
Physical Location:
6400 Poplar Avenue
Memphis, TN
The Job You Will Perform:
The general responsibilities for the financial analyst will be to focus on inventory analysis to effectively:
- Maintain accurate and timely accounting and analysis of inventory balances for all off-site warehouses and Consignment customers.
- Interact with business unit financials, operations management, and warehouse management to help create business value for customers, the business units and the corporation.
- Support the inventory accounting team to meet the operational goals outlined by the International Paper Agenda.
- Support the team leader and team members to maintain High Performance Work Teams
- Understand the impact of Inventory Accounting operations on the multiple businesses depending on the transactions and information
- Support team lead and the team members in process improvement methodologies to facilitate cost savings and process effectiveness and accuracy.
Daily Responsibilities
- Manage operational exceptions for RDCs, Ports, DCs, and Consignment customers.
- Participate in physical inventory reconciliations and analysis
- Manage service calls on inventory status from
- warehouse locations
- customer service
- business unit management
- Perform inventory or account analysis requested by the business groups
- Train new inventory team members on inventory team processes
- Assigned to special projects, as needed
- Assist A/P with Third Party Warehouse Invoice inquiries and monitor Purchase Orders
Monthly Responsibilities
- Participate in the month-end close processes and procedures for 3rd party locations
- Perform monthly inventory reconciliations against Third Party Warehouse Management Systems
- Reconcile Balance Sheet for all Ports, DC’s and RDC’s
Annual Responsibilities
- Maintain process and procedures manuals for the team
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