The TSL group of companies are independent, individual companies with a common origin, offering value added Supply Chain Management and Logistics Solutions. The TSL group of companies collectively create a strategic supply chain and logistics platform for the supply and distribution of goods and services from source to the last mile.
The companies commenc...
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Responsible for strategic financial planning and management reporting activities in the organization.
Preparation of monthly, quarterly and annual Management Reports, Budgets and Financial Plan and ensures compliance with statutory regulations.
Ensures the prompt reporting of financial performance at period end (e.g., income, balance sheet position, bank reconciliation) including relevant insightful analysis
Monitor financial controls for effectiveness and efficiency and ensures identified lapses are escalated on a timely basis.
Ensure revenue reporting is done in line with the provisions of IFRS15.
Manages and controls receivable General Ledger accounts
Prompt collection of receivables from clients.
Performs monthly review of the general ledger and ensure they are backed up with relevant schedules.
Preparation of monthly Tax Returns - PAYE, VAT & WHT and handle all Tax Matters.
Requirements
Minimum of a BSC/HND in Accounting, Banking & Finance or a related discipline.
5 - 7 years’ experience with the last 3 years in a middle management/Supervisory role
Member of ICAN, ACCA or any other relevant professional body.