GB foods is a leading FMCG group in West and Central Africa. We are into Trading and Manufacturing of branded food products for the African market.
We are recruiting to fill the position below:
Job Title: Senior General Accountant
Location: Nigeria
Role & Responsibilities
We are looking for a Senior General Accounting Specialist, that will join our Finance Administration department as a supervisor of the different teams, being responsible for:
Supervising the General accounting team tasks:
Post the general ledger and cash accounting entries, thereby compensating according to the type of payment/collection to ensure that the accounting reflects the economic operations. The related transactions but not exhaustive are:
Prepare and pay for the various taxes and social security charges, ensuring correct credit of the same in all managed companies.
Ensure that all the taxes are declared and paid on time,
Prepare and control the intercompany invoices and accounts to adjust the internal billing situation of services between companies of the GBFOODS.
Reconcile on a monthly basis the inter company accounts
Review all the differences noted and liaise with Corporate team
Post all the relating adjustments
Supervising the Accounts Payable team tasks:
Vendor Invoices reception (different flows)
Posting for payment: validating the invoice with the Purchase Orders
Initiate workflows for invoice differences / inconsistences / formalities
Invoice archive
Follow up of open purchase orders, and vendors accounts
Travel expenses:
Accounting for payment: supporting document validation, and posting
Technical support to procurement department (PO treatment).
Authorization workflows maintenance
Control the account balances of customers/suppliers to ensure the correct status thereof.
Handle inquiries from internal and external customers regarding the billing generated and guarantee the validity of the information.
Cash flow management
Supervising the Treasury team tasks
Main Tasks include:
Banking map and banking pool
Financial facilities management (M&A, CapEx and Working capital)
Cashmanagement; daily position and forecast
Payment management
Online banking management
Financial cost management and reporting
Management of bank accounts
Reconcile all the bank accounts on a monthly basis
Ensure that all the transactions on the bank statements are correctly booked (accuracy and completeness)
Ensure that all the outstanding items are investigated and duly adjusted
Make all the cheques deposit on the bank accounts
Make all the cash withdrawal for the petty cash replenishment
In collaboration with Corporate team, ensure the relationship with the local bank
Make the follow up of all the payments done
Supervising the Audit, Reporting team tasks:
Audits and tax inspections
Finance reporting
Establishment of the annual financial statements
Requisitos
Academic requirements: Superior level vocational training in accounting
Minimum of 8 years of experience in a similar position
Previous experience in Accounts Payable, Tax, Treasury very desirable
Tool/ Software: Good knowledge of SAP FI (General accounting, Account payables, Customers, Banks, ...)
Ability to work under pressure with good communication skills
Rigorous, autonomous, innovative and proactive
Language: English
Application Closing Date
Not Specified.
Method of Application
Interested and qualified candidate should: Click here to apply online