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Although you can outsource the management of your coupon receivables, you can’t outsource the responsibility.
With NCH, you get an open accounting of everything we do on your behalf. You stay informed. And that means you stay in control.
When retailers first experience the information that is available to them through NCH, they are consistently impressed by the level of transparency provided – not just the quantity of data, but also the quality and usability. That’s because, with nearly 60 years of coupon industry experience, NCH understands the information retailers need to successfully navigate the challenges and potential pitfalls of today’s highly dynamic coupon redemption process.
Our commitment to transparency extends from our investments in data collection and warehousing to the continuous enhancement of BENCHMARK™, our proprietary coupon information portal for retailers.
With comprehensive reporting and online reconciliation tools that can also integrate with your financial systems, you’ll be in a better position to: Enhance Store-Level Coupon Controls: Quickly identify missing coupon shipments. Validate coupon submissions against point-of-sale records. And, measure individual stores against your company’s overall coupon submission performance. Manage Vendor Coupon Activity: See how each vendor’s promotional support compares to similar manufacturers. Identify vendors who are not paying on time. And, isolate manufacturers whose payment and couponing practices are generating abnormal adjustment levels compared to others. Protect Your Coupon Receivables: Substantiate billings to your manufacturers with detailed information about what has been processed and paid on your behalf. Quickly uncover the reasons for manufacturers’ payment adjustments. And, provide support for the decisions you have to make. Monitor Clearinghouse Activity: Verify that NCH is acting responsibly on your behalf. Quickly authenticate clearinghouse billings against coupon redemption records from your own point-of-sale systems. And, verify that billings to each individual manufacturer reconcile with the payments you receive.
With comprehensive reporting and online reconciliation tools that can also integrate with your financial systems, you’ll be in a better position to: