Etcon Analytical and Environmental Systems & Services Limited is a wholly Nigerian Company specialized in the sales, marketing, distribution, installation, startup and maintenance of various equipment in Nigeria Industries and Institutions. Our wide product selection allows us to offer various expert solutions which, when aligned with our strategy focuses on driving results, developing people, critical thinking, continual improvement & innovation, collaboration & teamwork and customer focus – guarantee the satisfaction of the needs of our clients. We see partnership as the foundation of our entire business rather than just a fancy word. This is what differentiates us. Therefore, we are committed to providing total solutions to all your demands.
We are recruiting to fill the position below:
Job Title: Head Accountant
Location: Ogudu, Lagos
Employment Type: Full-time
Job Description
We are seeking a highly skilled and experienced Accountant to oversee and manage the accounting and financial operations of our business portfolio.
The ideal candidate will ensure the accuracy of financial records, compliance with regulatory requirements, and provide critical financial insights to support strategic decision making.
The candidate will manage and improve the company’s financial health and internal control processes.
This role requires strong technical accounting and financial skills, attention to detail, and a proactive mindset to support decision-making across the business
Job Responsibilities
Carrying out assigned duties for company and sister companies (Assetmatrix Instrumentation Automation and Control Systems Ltd, Etcon Analytical & Environmental Systems and Services Ltd and Vethan Concepts Ltd);
Performing internal audit functions for all companies and liaising extensively with external auditors and tax authorities
Stewarding and coordinating all financial accounting controls and closing out all audit issues and issuing recommendations to Management.
Prepare, review, and analyse financial statements, ensuring accuracy and compliance with regulatory standards.
Maintain the general ledger and oversee monthly, quarterly, and annual closing processes.
Reconcile accounts, including bank statements, receivables, and payables.
Manage and monitor cash flow to ensure sufficient funds for operations. Budgeting and Forecasting
Develop, manage, and monitor budgets for all business units.
Provide detailed variance analysis and recommend corrective actions.
Prepare financial forecasts and business performance reports. Taxation and Compliance
Prepare and file accurate tax returns and liaise with tax authorities when necessary.
Ensure compliance with financial regulations and company policies. Internal Controls and Auditing
Processing expense reports, payroll, pension payments, HMO payments etc. and ensuring accurate calculation of wages, deductions, and timely disbursement to employees.
Processing of VAT returns, Staff Tax returns, CAC Annual returns, NSITF payments, ITF payments and other statutory payments and filings on behalf of the company and sister companies and monitoring and reconciling WHT deductions.
Ensure compliance with local tax regulations, including VAT, PAYE, and corporate taxes.
Preparing and processing the payment of Directors Assessment and Remunerations.
Manage obligations to suppliers, customers and third-party vendors for all companies
Process bank deposits, withdrawals and reconcile financial statements
Prepare, send and file invoices and ensure timely payments of invoices and resolving and reconciling issues with invoices
Preparing monthly, quarterly and annual P/L Accounts and Balance Sheet as well as management accounts for all of the companies and report on the status of accounts payable and receivables
Develop and enforce effective internal controls to safeguard business stock.
Include developing processes and policies such as procurement process, internal audit plan
Develop an accounting manual, coordinate and support internal and external audit processes.
Identify risks and propose improvements to financial processes.
Provide support for financial analysis on key business initiatives and investments.
Collaborate with other departments to improve financial processes and reporting
Manage and maintain the general ledger, ensuring all financial transactions are accurately recorded and reconciled.
Forecasting and optimizing financial resources and ensuring all expenditure is in line with budget.
Booking of all accounting entries and preparing Trial Balance
Managing and updating the company’s Asset records and stock books and supervise stock levels.
Identify and address discrepancies in account payables and receivables
Preparing presentations, proposals, quotes, purchase orders, Invoices, receipts and sales contracts etc.
Monitor daily cash flow and ensure sufficient funds are available for operational needs.
Conduct regular bank reconciliations to ensure accurate recording of financial transactions and identify any discrepancies
Prepare accurate monthly, quarterly, and annual financial statements in accordance with IFRS.
Coordinate inventory management, ensuring accurate valuation and control of stock.
Collaborate with other departments to gather financial data and provide financial insights as required.
Prepare various financial reports for management, highlighting key financial performance indicators.
Participate in year-end closing procedures and assist with external audits
Oversee all general ledger activities and ensure timely reconciliations.
Support budgeting, forecasting, and financial planning processes
Ensure compliance with all tax, regulatory, and statutory requirements.
Manage internal and external audits, including liaising with auditors and preparing audit documentation.
Stay updated on changing tax laws and regulations in Nigeria to ensure compliance.
Implement and maintain effective internal financial controls to safeguard the organization's assets and minimize financial risks
All other duties as may be assigned to you.
Qualifications and Experience
Bachelor’s Degree in Accounting, Finance, or a related field.
Professional certifications such as ACA, ACCA, ICAN
Minimum of 7 - 10 years of accounting experience, with at least 2 years in a senior/leadership role.
Team Leadership and Collaboration:
Supervise and mentor junior accounting staff, fostering professional growth.
Collaborate with department heads to provide financial guidance and support decision making.
Liaise with external auditors, tax consultants, and regulatory bodies.
AAM Skills & Proficiencies:
Associate's Degree in Accounting, Business, Administration, or similar.
At least one year of accounting experience.
Strong computer skills and proficiency in MS Office and Outlook.
A solid understanding of financial processes such as bookkeeping and tax filing.
Basic math skills.
Excellent verbal and written communication skills.
Good organizational and time management skills.
The ability to work on multiple projects simultaneously while maintaining accuracy.
The ability to collaborate with coworkers, clients, and suppliers.
Skills and Competencies:
Strong knowledge of accounting principles, financial reporting, and Nigerian tax laws.
Proficiency in accounting software and Microsoft Office Suite, particularly Excel.
Excellent analytical and problem-solving skills.
High level of accuracy and attention to detail.
Strong organisational and time-management skills.
Effective communication and interpersonal skills.
Ability to work under pressure and meet tight deadlines.
Application Closing Date
7th July, 2025.
How to Apply
Interested and qualified candidates should send their Applications to: hr@etconanalytical.comusing the Job Title as the subject of the email.