Priscilla Troescher
201-***-**** ******************@*****.*** Clifton, USA 07011
SUMMARY
Results-driven trade specialist with expertise in global market analysis and logistics coordination. Proven track record in contract negotiation and supplier relationship management, leading to increased revenue and operational efficiency. Strong skills in strategic planning and market research, contributing to streamlined operations and compliance with trade regulations. SKILLS
Claims processing
Electronic Data Interchange
Salesforce
Proficiency in Word and Excel
Dispute resolution
Time management
Logistics
Customer relationship management
Data entry
Vendor management
Team collaboration
Trade compliance auditing
Trade promotion strategies
Data-driven decision making
Continuous improvement
EXPERIENCE
Trade Specialist & Customer Service, Schweid & Sons, Inc., February 2008-January 2025 East Rutherford, NJ
Monitored and analyzed sales promotions, discounts, and allowances for customers. Managed trade compliance and documentation processes. Reviewed and reconciled deductions against agreements and contracts to ensure accuracy. Collaborated with foodservice and retail sales quarterly to address volumes and deductions. Streamlined processes in Salesforce to enhance controls and reduce errors. Managed freight reclassification for Delivered Cost customers to rectify discrepancies. Analyzed market trends to identify new trading opportunities for product expansion. Provided technical advice on trade-related matters to enhance customer understanding. Developed solutions addressing market gaps to drive company sales growth. Accounting Support, PMK Group, May 2002-January 2008 Cranford, NJ
Executed accounts payable and receivable processes alongside payroll processing. Provided support services for fellow team members when necessary. Monitored daily financial transactions and ensured accuracy of data entry into accounting system. Provided support to other departments in resolving financial disputes or discrepancies between their records and the accounting system's records.
Performed bank reconciliations for corporate accounts on a regular basis. Managed daily, weekly, and monthly financial transactions and reporting. Compiled and presented daily, monthly, quarterly, and year-end financial reports. Conducted budget analysis to inform financial decisions. EDUCATION
OSHA 10
OSHA Education Center, Florida Online September 2025 Paralegal Studies
Bergen Community College, Paramus NJ January 2004