Jobs

Latest Jobs at Unified Payment Services Limited

  • Contents
  • Open Jobs
    1. Head, Expenditure and Payables
    2. Head, Financial Reconciliation
    3. Financial Analyst
    4. Financial Reconciliation Specialist
    5. Head, Dispute Management and ATM Settlement
    6. Revenue and Receivables Specialist
  • Method of Application

Latest Jobs at Unified Payment Services Limited

Head, Expenditure and Payables

  • Job Type Full Time
  • Qualification BA/BSc/HND
  • Experience 7 years
  • Location Lagos
  • Job Field Finance / Accounting / Audit&nbsp

Job Description

  • To ensure accurate and timely recording of all financial transactions in line with company policies, rules and guidelines as well as regulatory standards.
  • To ensure that management reports are produced accurately and timely.
  • To produce such reports as may be requested my management for the purpose of decision making.
  • To supervise designated staff.

Duties& Responsibilities

  • Payroll: Ensure that staff salary is paid promptly.
  • Ensure remittance of staff pension.
  • Inventory Management: To ensure accuracy, completeness and integrity of stock records and balances including Airtime Vending.
  • GL Schedules: Ensure that GLs are reviewed and proofed, while errors are detected and corrected promptly.
  • GL expense proofing: Ensure that all transactions posted into each expense account and their project codes (if any) belong to such accounts and that there are no duplications.
  • Ensure that Expense report is prepared and sent to the required HODs monthly.
  • Ensure collection of WHT Credit Notes due to Unified Payments.
  • Ensure that Fixed Asset Register is correctly updated and agreed to GL Records.
  • Management Accounts: Ensure that Management obtains consistently; timely, accurate and relevant financial information for decision making and planning purposes.
  • Staff and Vendor Payments: Ensure that all approved staff and vendor payments or internal requests are effected within agreed timelines.
  • Ensure that USD Merchants are settled weekly and in line with terms of agreement with them.
  • Staff Loans Administration: Ensure staff loans repayment is in line with Management approvals.
  • Ensure Tax Remittances comply with statutory requirements and avoid penalties.
  • Delegated tasks: Performing any other tasks as may be assigned from time to time.

Job Requirements

  • Education: First Degree in Accounting or any numerate subject.
  • Professional membership of ICAN / CIMA / ACCA or similar recognized professional accounting bodies.
  • Experience: 7 years and above post NYSC.
  • Knowledge Excellent knowledge of cost and financial accounting principles, practices and procedures.
  • Knowledge of International Financial Reporting Standards Knowledge of supervisory practices and principles.
  • Knowledge of Card Payment industry.

Skill / Competencies:

  • Demonstrate ability to cope with pressure and meet deadlines.
  • High degree of accuracy.
  • Deductive reasoning abilities and eye for details.
  • Strong interpersonal and communication skills.
  • Advanced Excel user.

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Method of Application

Job Objectives

  • To ensure that UP settlement account is always adequately funded to accommodate merchant and stakeholders settlement daily.
  • Ensure rendition of monthly Income Reports.

Duties And Responsibilities

  • Daily monitoring of Scheme Receivables – Amount due to UP as licensed Acquirer for both domestic and International transactions (Visa, MasterCard, Amex, CUP and Payattitude).
  • Daily monitoring of amount due to UP from co-acquirers.
  • Daily acquirer obligation to merchants.
  • Monitoring and reporting of daily balances into receivables account for settlement from MasterCard Naira.
  • Monitoring and reporting daily balances into receivables account for settlement from Visa Naira.
  • Monitoring and reporting daily balances into receivables account for settlement from various scheme for Dollar transactions.
  • Monitor and report accuracy of debits into the settlement account in favour of merchants, PTSP, PTO, domestic switches and PTSA.
  • Monitor and report accuracy of debits into the settlement account in favour ATM settlement.
  • Revenue Assurance: Recover PTSP and TO Income (Receivable) from Other Settlement Agents- (e.g ISW & Zenith Bank).
  • Review of MSC charged to merchants and clients.
  • Recomputation and Assurance of UP’s transactional based revenues (PTSP, PTO, Switch, Processing Fee, Acquirer and Acquirer Margin) and other fees charged by UP and collected daily.
  • Management Accounts: To ensure that Management obtains timely and consistently relevant financial information for decision making and planning purposes.
  • Rendition of Income Reports to stakeholders in agreed format.
  • Daily Income Analysis Report.
  • GL Schedules: To ensure that errors are detected and corrected promptly for specific GL accounts.
  • Accounting correctly in the GL for all schemes (local and international); Fees deductions prior to the Scheme Net Settlement.
  • Rendition of Receivable reports.
  • Fund recoveries of all single settlement and 2UP disputed merchant transactions.
  • Accounting correctly in the GL for all Verve transactions scheme receivables.
  • Preparation of disbursement schedule for social welfare scheme.
  • Accounting correctly in the GL for revenue earned by UP for all social investment activities’ carried out.
  • Accounting correctly in the GL for all payment of scheme receivables.
  • Accounting correctly in the GL for UP as merchant receivables (PayArena) and daily tracker of sales against inventory.
  • Accounting correctly in the GL for amount due to other PTSPs and PTO (different from UP).
  • Treasury Function.

Knowledge Knowledge:

  • Good Microsoft Excel skills.
  • Presentation skills.

Skill / Competencies:

  • Computer skills (Microsoft package).
  • Good interpersonal skills.
  • Attention to details.
  • Critical reasoning and analytical abilities.
  • Good writing and oral communication & presentation skills

Key Performance Indicators

  • 99% accuracy in settlement.
  • Timeliness of Reports.
  • 100% Documentation

Job Requirements

  • Education: First degree in Accounting or any numerate subject.
  • Professional membership of ICAN/CIMA/ACCA or similar recognized professional accounting bodies – added advantage.
  • Experience: 4 – 6 years post NYSC.

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