Job Summary
Job Description/Requirements
Profil du candidat
▪ BSc in Accounting or related discipline with at least 3 years' working experience.
▪ Efficient use of software packages (Microsoft Office).
▪ Good interpersonal skills, effective communication skills with ability to relate well with both internal and external customers.
▪ A person of integrity
Activités
▪ Process all bills from the Territories, Plants and Depots on a weekly basis through the SSC on Themis Electronic payment while ensuring the bills paid are correctly posted in SAP.
▪ Process Transporters bills on a weekly basis for payment & ensure every bill processed are posted into SAP before payment is made.
▪ Ensure posting of payments made via e-payments/ one-off for Transporters & Territory within 2 days after final release by required signatories.
▪ Raise cheques (system generated and handwritten) in line with CBN rules.
▪ Value added check on bills for authorization and approvals in line with procedure.
▪ Ensure all vouchers paid via cheques are posted into SAP after sending them for Approvals.
▪ Preparation of confirmation letters for all cheques raised to the banks.
▪ Effective communication on payments made via e-payment platform and cheques to user departments.
▪ Emailing of payment advice to vendors after final release by the ED and regular update of the platform.
▪ Follow up on all advance payments made to transporters and ensure deduction as and when due on a weekly basis.
▪ Take note of payment domiciliation instruction to banks for vendors.
▪ Give out cheques, Transporter’s payment advice and attend to enquiries from vendors three times a week
▪ Ensure vouchers are returned to the respective units after payments for stamping and filing.
▪ Payment of staff expense claim.
▪ Reconcile G/L account balance with physical cash count before close of work daily.
▪ Prompt replenishment of cash as and when due or minimum replenishment level of 2/3 replenishment rule.
▪ Ensure that staff advances are matched immediately it is liquidated; and that staff with advances over 60 days are
communicated with for liquidation.
▪ Monthly analysis of cash advance for adequate monitoring – report 3 days after account closure (M+8)
▪ Ensure that all assets disposal document are duly approved by MD before issuing receipt to the vendor.
▪ Monthly preparation of cash count report – Cash count is done on the 1st working day of every month.
▪ Follow-up on processed payment to ensure that no NEFT return goes un-treated.
▪ Archiving of all paid digital documents and approved payment list in the Cloud via SharePoint.
Contexte et environnement
▪ The job involves the use of SAP, THEMIS to make payments & ensure matching of paid accounts.
▪ Job requires a conducive environment for effective and efficient performance.
▪ It requires focus and minimal distraction to avoid errors.
▪ Job requires constant interactions with internal (staff) and external (contractors) customers regularly.
Informations supplémentaires
TotalEnergies Marketing Nigeria Plc is an equal-opportunity employer.
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