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Saturday 15 August 2015

Fund Accountant Nestle Nigeria

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 Description
We are the leading Nutrition, Health and Wellness Company in the world and the industry reference for financial performance. Our nutrition, health and wellness agenda continue to bring enhanced benefits for consumers, greater brand differentiation in the market place and increased value for shareholders.
Description:
As our Fund Accountant, you ensure that the Fund’s Books of Accounts are properly kept and that the Financial Statements and notes are professionally prepared to reflect a true and fair view of the activities of the Fund and in compliance with the provisions of International Financial Reporting Standards.
Responsibilities:
Ensures that monthly contributions by employees and Nestlé Nigeria Plc for Pension, Provident and Gratuity Funds are received within seven days after salary payments into the bank accounts of the Funds and the General Ledger.

Ensures that all financial transactions – receipts (Interests and Dividends), repayments to retirement accounts holders, payments for all expenses, Investment Considerations and journals are accurately and promptly captured into the General Ledger.
Ensure monthly returns to National Pension Commission (PenCom) via Risk Management and Analysis System (RMAS) and in addition related schedules for the determination and payment of supervisorial charges to both PENCOM and Pension Fund Custodian.
Prepare on Quarterly basis Financial Statements and Balance Sheet, with all relevant schedules, submitting same to the Chief Executive Officer, to prepare other reports for the Board , Investment and Risk Committee meetings
Annual preparation of Financial Statements and Balance Sheet, with all relevant schedules in accordance with International Financial Reporting Standards, for returns to National Pension Commission and consideration of the Board of Directors, Investment and Risk Committees.
Print and distribute on quarterly basis, Statements of Accounts for each Retirement Accounts Holder, for Pension, Provident and Gratuity Funds.
Requirements:
Not less than 3 years relevant Fund Management experience
Upper Credit/ Second Class Upper Degree (HND, BSc) in Accounting.
Must be a Chartered Accountant- ACA, ACCA
Good analytical and planning skills
Good Communicator, both orally and written
Good organizational skills
Computer Literate
to apply for this job, copy and paste this link in your browser: http://jbng.me/423094

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