Treasury Analyst Job at ENYO Retail & Supply
ENYO Retail & Supply Limited is a customer-focused, technology-driven, fuels retailing company. Poised to deliver best-in-class retail experiences, leveraging complimentary brands and optimized returns to investors.
Poised to challenge some of the key tenets of Nigeria's fuels retailing industry, ENYO retail is founded on the premise that the customer is the most important factor to be considered in the development and execution of service delivery.
We are recruiting to fill the position below:
Job Position: Treasury Analyst
Job Location: Nigeria
Job Type: Full-Time
Job Summary
- The role is responsible for monitoring Cash, POS, transfers and other inflows from stations and customers to ensure that payments received in the bank agree with total sales value.
- Also responsible for posting / uploading bank transactions to GL as well as performing regular cash and bank accounts reconciliation on a daily, weekly and monthly basis.
Principal Duties and Responsibilities
- Monitor cash vs sales daily reconciliation of Cash, POS control and other payment control accounts to ensure alignment of sales to inflows received in the bank statement. These inflows can either be from stations via cash deposits, POS settlement and transfers or from customers via transfers or other payment methods.
- Conduct Spot checks for physical cash counts to validate reports generated from retail outlets.
- Collate daily balances of all company’s bank accounts.
- Perform other assigned duties as delegated by the Treasury Controller.
- Daily and weekly upload and posting of customer payments, lodgments, and bank inflows from the bank statements for main accounts, sub accounts and other business accounts to appropriate accounts on E-core GL.
- Monitor to ensure the timely settlement of POS transactions into our bank accounts and also resolve POS issues.
- Follow up with stations to respond promptly to POS chargeback claims within 24 hours.
- Enforce zero tolerance to misrepresentation or omissions on all cash control reconciliations statements.
- Escalate abnormal transactions and document communication with pertinent stakeholders on resolution.
- Monitor Non-Fuel Revenue against proceeds received in the bank.
Key Performance Indicators:
- Weekly submission of Sales Vs Cash Recon to Treasury Controller
- Daily and Weekly Posting of all bank transactions on E-core.
- Monthly submission of Bank Reconciliation and POS Reconciliation for all assigned accounts to Treasury Controller.
- Timely submission of all assigned reports
- Good interpersonal skills in liaising with the banks and other stakeholders
- Ensure accuracy of transactions posted.
- Quality of work must reflect high degree professionalism
Requirements
Educational Qualification:
- Minimum of a Bachelor's degree in Accounting, Banking, Finance or related field.
- Professional accounting qualification. ACA/ACCA preferable.
Knowledge Requirements:
- Knowledgeable in core accounting and reconciliation principles.
- Knowledgeable in IFRS
- Very proficient in MS-Excel
Similar Jobs
- Job Openings at Mediflex Industries PVT Limited
- Accountant Job at People Apex Solution
- Job Vacancies at Tyonex Nigeria Limited
- Ongoing recruitment at Oxygen X
- Chief Accountant Job at International Energy Services Limited
- Field Service Personnel Job at Tizeti Network Limited
- Investment Executive Job at Helean Global Limited
- Wealth Manager (Commercial Bank) Job at Helean Global Limited
- Financial Bookkeeper Job at Osten Laboratory
- Director - Product Management, Cross Border Payments Job at Mastercard