Senior Accounting Officer at Eric Kayser

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
1 month ago

Additional Details

Job ID
144026
Job Views
37

Job Description






Objective of the Role




  • To support daily financial operations by reconciling sales records, reviewing cashier dockets, and ensuring that all branch transactions across Eric Kayser and Leila are accurately accounted for.

  • The Senior Accounting Officer serves as a key control point between operations and finance by detecting discrepancies and ensuring reporting accuracy.



Key Responsibilities

Daily Sales Reconciliation:




  • Collect and review cashier dockets and POS closing reports from all Eric Kayser and Leila branches for the previous day.

  • Reconcile actual sales recorded by cashiers with customer bank transfers, POS receipts, and cash deposits.

  • Match daily transaction records with bank inflows and escalate variances (shortages or overages).

  • Follow up on unresolved payment issues or missing transfers from customers.



Reporting and Documentation:




  • Accurately log all reconciliations into the sales control tracker and submit daily reports to the Accounts Department.

  • Maintain organized documentation of daily dockets, receipts, teller slips, and POS summaries for audit purposes.

  • Support the finance team in generating weekly and monthly sales summary reports for management.



Support to Branch Finance Operations:




  • Visit assigned branches (as needed) to verify cashier reports, ensure proper recordkeeping, and confirm compliance with financial reporting processes.

  • Work closely with the cashiers and supervisors to promote accuracy and proper handling of financial documentation.

  • Assist with spot-checks and internal control exercises under the supervision of the Finance Manager or CFO.



Bank & Payment Follow-up:




  • Monitor all branch customer transfers, payment confirmations, and POS settlements to ensure completeness and timeliness.

  • Notify the Finance Manager of delayed or suspicious transactions for immediate resolution.

  • Maintain an accurate tracker of pending transfers and reconciliation status.



Other Duties:




  • Assist in daily cashbook updates, expense postings, and reconciliations when required.

  • Provide support during audits by retrieving financial documents and responding to queries.

  • Work closely with all relevant departments to ensure smooth inter-departmental financial coordination.



Requirements




  • B.Sc. or HND in Accounting, Banking & Finance, or a related discipline.

  • 3–5 years' accounting or reconciliation experience (experience in restaurant or retail is an added advantage).

  • Good understanding of POS, cash handling, and payment channels (bank transfers, online payments, etc.).

  • Strong attention to detail, record-keeping, and analytical thinking.

  • Proficiency in Excel and basic accounting software (e.g., Sage, QuickBooks, Zoho).

  • High level of integrity, confidentiality, and responsibility.

  • Willingness to visit branch locations periodically.



Key Competencies:




  • Reconciliation and numerical accuracy

  • Documentation and attention to detail

  • Time management and reliability

  • Communication and follow-up skills

  • Ability to work independently but closely with the finance team.



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