Jobs

Treasury Accountant at Wells Accounting and Tax Services

  • Job Type Full Time
  • Qualification BA/BSc/HND
  • Experience 3 – 5 years
  • Location Lagos
  • City Victoria Island
  • Job Field Finance / Accounting / Audit&nbsp

Treasury Accountant at Wells Accounting and Tax Services

Treasury Accountant

Role Objective

  • The Treasury Accountant will oversee the organization’s cash flow, banking operations, and liquidity management to ensure efficient use of funds and compliance with financial regulations.
  • This role is responsible for planning budgets, reconciling bank statements, preparing cash flow reports, managing loans, and ensuring timely financial reporting to support strategic decision-making.

Key Responsibilities
Bank & Cash Management

  • Manage company bank accounts to ensure efficiency, compliance, and optimal returns.
  • Prepare daily, weekly, and monthly cash flow plans for management decision making.
  • Perform regular bank reconciliations, ensuring alignment with the general ledger and IFRS standards.
  • Maintain and monitor petty cash funds, ensuring accurate posting of all disbursements in the ERP.
  • Track and reconcile staff cash advances, ensuring retirement within 48 hours and
  • communicating deductions for defaults.

Loan & Investment Management:

  • Maintain loan schedules, capturing principal repayments and accrued interest.
  • Monitor loan covenants and ensure timely repayment by setting aside funds in advance.
  • ovide interest and debt analysis reports, ensuring profitability and compliance with agreements.

Budgeting & Forecasting:

  • Collate and prepare annual budgets in collaboration with departmental heads.
  • Develop dynamic, updated cash flow plans (weekly and monthly) based on budgetary changes and operational realities.

Regulatory Compliance & Reporting:

  • Prepare and manage Nigerian Export Proceeds (NXPs) documentation, ensuring accurate matching of inflows and timely closure of balances.
  • Ensure compliance with treasury regulations, tax requirements, and all local, state, and federal financial laws.
  • Maintain confidentiality and secure management of all financial records, Spreadsheets and register.
  • Deliver timely financial reports, including:
    • Weekly and monthly bank reconciliation
    • Daily/weekly/monthly cash flow plans
    • Loan repayment schedules and profitability reports
    • Updated cash flow statements reflecting current realities

Other Duties

  • Support fundraising and investment initiatives to strengthen the company’s financial position.
  • Perform any other finance-related tasks as assigned.

Qualifications & Requirements

  • B.Sc. or HND in Accounting, Finance, Economics, or a related field (professional certification such as ACA, ACCA, or CFA is an advantage).
  • Minimum of 3–5 years of relevant experience in treasury or financial accounting.
  • Solid understanding of accounting principles, financial management, budget planning, and cash flow control.
  • Proven experience using ERP systems and advanced Excel skills.
  • Strong analytical, problem-solving, and critical-thinking abilities.
  • Excellent organizational, documentation, and communication skills.
  • High ethical standards, integrity, and ability to maintain confidentiality.

Key Competencies:

  • Cash flow forecasting and management
  • Financial reporting and analysis
  • Regulatory compliance and tax planning
  • Strong interpersonal and stakeholder management skills
  • Attention to detail and proactive decision-making.

Method of Application

Interested and qualified candidates should send their CVs to: recruitment.wells@gmail.com using “Treasury Accountant” as the subject of the mail.

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