Revenue Accountant II

KBP BrandsLeawood, KS
8d

About The Position

The Revenue Accountant II reconciles complex revenue streams across all KBP brands—KFC, Taco Bell, Arby’s, and Sonic—by performing a three-way match between point of sale (POS), third-party data, and cash/receivables. This role is responsible for ensuring the accuracy and completeness of revenue across multiple tender types including cash, credit card, gift card, and delivery receivables. The position administers day-to-day activities within KBP’s reconciliation software and investigates discrepancies to maintain accurate financial reporting. This individual works closely with the Accounting, Operations, and Treasury teams, as well as third-party service providers. The ideal candidate is a self-starter with strong analytical skills, attention to detail, and the ability to manage processes in a fast-paced environment.

Requirements

  • Bachelor’s degree in Accounting, Finance, Business, or a related field (or equivalent combination of education and experience).
  • 2+ years of experience with revenue reconciliations, accounting processes, or financial systems.
  • Strong proficiency with Microsoft Excel and data analysis tools.
  • Demonstrated ability to leverage technology and systems to improve accounting processes.
  • Strong attention to detail and analytical problem-solving skills.
  • Ability to prioritize and manage multiple tasks in a fast-paced environment with shifting priorities.
  • Effective communication skills with the ability to collaborate with financial and non-financial stakeholders.
  • High level of initiative, accountability, and self-motivation.

Nice To Haves

  • Experience with Workday or other ERP/accounting systems preferred.

Responsibilities

  • Perform three-way reconciliation between POS systems, third-party reporting, and cash/receivables across all brands and tender types.
  • Reconcile store deposits, credit cards, gift cards, delivery, and catering receivables to cash receipts on a daily, period, quarterly, and annual basis.
  • Monitor, investigate, and resolve reconciling items, transaction errors, and discrepancies in a timely manner.
  • Serve as a proficient user of KBP’s reconciliation/match software, performing daily monitoring and maintenance of reconciliation tasks.
  • Compile, analyze, and post variances related to credit card, gift card, and delivery receivables.
  • Ensure revenue completeness across all brands and locations by validating data sources and identifying irregularities.
  • Compile and distribute cash verification reports daily and during accounting periods; review results for potential cash loss trends or reporting irregularities.
  • Respond to field inquiries related to deposits and revenue discrepancies.
  • Recommend process improvements and automation opportunities to support evolving business needs and revenue activities.

Benefits

  • Full-time employees are eligible for a comprehensive benefits package that includes medical, dental and vision coverage, short- and long-term disability, a 401(k) company match, paid time off, life insurance, and AD&D coverage.
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