- The Story
A Logistics client mandate to automate Cash Reconciliation process. Partner required our local teams for: Systems Integration & Optimization, ETL & Data Warehousing and Automation
- Created Automated scripts to pull data from Excel, Netsuite and Snowflake and warehouse said data
- Developed Netsuite and SQL code to pull data from various tables to generate month end entries
- Performed audit using automated script and reconciled account entries vs. actuals