Responsibilities
- FX vendor settlements (Payments) and Reconciliations.
- Ensure that export proceeds are received into the Company’s domiciliary account and its utilization properly recorded.
- Bank reconciliation- Ensure that all ledger bank accounts are accurately and timely reconciled with bank statements.
- Ensure that all outstanding reconciliatory items are promptly reported for investigation so that cashbook balances at any point in time reflect the Group’s actual position on cash/overdraft balances.
- Check interest, bank fees and LC charges to ensure that they comply with the agreed rates with the banks and to apply for refund where over-charges are identified.
- Customer collection accounts monitoring and reporting.
- Escalate unresolved issues to immediate boss and any relevant authority for further investigation and resolution.
- Agree on realistic yet challenging objectives throughout the year with your direct boss whilst making sure that the objectives are SMART
- Complete as a minimum, periodic reviews of each your performance (bi-annual and monthly informal reviews) with your direct boss
- Regularly as for feedback on performance in a timely manner.
Qualification:
- B.Sc. Accountancy, MBA (Financial Management)
- Membership of Institute of Chartered Accountants of Nigeria (ICAN)
- Computer expertise especially in MS Word, MS Excel and PowerPoint
- Technical/Professional Experience:
- 3 years minimum work experience
- Good knowledge of International Accounting Standard and S.A.S
- Good Knowledge of Group Accounting policies
- Good Cost Accounting knowledge
How to Apply
Interested and qualified? Go to PZ Cussons on pzcussons.wd3.myworkdayjobs.com to apply