
11 - 50 employees
Founded 1988
💼 Consulting
✈️ Travel
📦 Logistics
Consulting • Travel • Logistics
Concept Logistics is a freight brokerage and third-party logistics provider founded in 1988 that offers truckload, LTL, and international forwarding services. The company emphasizes long-term partnerships with shippers and carriers, uses a TMS for data-driven decision-making and shipment visibility, and provides dedicated customer service and sales consultation to optimize carrier utilization and supply chain performance.
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11 - 50 employees
Founded 1988
💼 Consulting
✈️ Travel
📦 Logistics
Consulting • Travel • Logistics
Concept Logistics is a freight brokerage and third-party logistics provider founded in 1988 that offers truckload, LTL, and international forwarding services. The company emphasizes long-term partnerships with shippers and carriers, uses a TMS for data-driven decision-making and shipment visibility, and provides dedicated customer service and sales consultation to optimize carrier utilization and supply chain performance.
• Direct all general accounting activities, including accounts payable, accounts receivable, cash management, accruals, and account reconciliations • Lead monthly, quarterly, and annual financial close processes • Prepare and review financial statements, management reports, balance sheet reconciliations, and supporting schedules • Ensure financial reporting complies with GAAP and company policies • Maintain the chart of accounts and general ledger • Review financial results and investigate variances, trends, and unusual transactions • Develop, maintain, and improve accounting policies, procedures, and internal controls • Ensure segregation of duties and financial approval processes • Monitor compliance with federal, state, and local financial and tax requirements • Coordinate annual financial statement audits and serve as primary contact for external auditors • Oversee accounts payable and accounts receivable functions • Monitor receivables, aging, collections, and credit exposure • Oversee vendor payments and authorization/documentation • Monitor daily cash positions and support cash-flow forecasting • Review banking activity, reconciliations, and processes • Identify working-capital and cash-management improvements • Assist executive leadership with annual budgeting and financial forecasting • Prepare budget-to-actual reporting and explain significant variances • Develop financial analyses supporting operational and strategic decisions using Power BI and other business analytics tools • Monitor financial and operational performance indicators • Partner with operational leadership to analyze profitability by customer, service line, business unit, or other segment • Identify cost-saving opportunities, financial risks, and profitability improvements
• No explicit job requirements, qualifications, education, certifications, experience, or language requirements stated
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