Our client
is a global leader in moving and relocation, dedicated to providing seamless
employee transfers, secure packing services, and household shipping to
companies and individuals worldwide.
Job Summary
The Senior Accountant
is responsible for overseeing the overall financial operations of AGS, ensuring
accurate financial reporting, regulatory compliance, effective internal
controls, cash flow management, and efficient accounting processes across all
branches. The role also involves managing audits, taxation, receivables,
invoicing, and asset management while supporting management with strategic
financial insights and recommendations.
Key Responsibilities
Financial
Reporting & Accounting
- Prepare
periodic financial statements and management accounting reports in a
timely and accurate manner.
- Prepare,
review, and maintain Trial Balances and General Ledger postings.
- Ensure
all accounting records are properly maintained in compliance with
accounting standards and company policies.
- Monitor
daily financial transactions and ensure proper documentation of all
accounting activities.
- Conduct
monthly, quarterly, and annual financial closing processes.
Audit
& Compliance
- Manage
the yearly statutory and external audit process.
- Liaise
with external auditors, tax consultants, and regulatory agencies.
- Ensure
full compliance with government statutory and regulatory requirements.
- Coordinate
and manage Federal and State Inland Revenue tax audits and related
matters.
- Ensure
timely remittance of taxes, and other statutory obligations.
Internal
Control & Risk Management
- Develop,
implement, and monitor effective internal control systems.
- Continuously
review finance department processes and recommend improvements in line
with leading practices.
- Identify
financial risks and implement corrective and preventive measures.
- Ensure
compliance with company financial policies and procedures.
Working
Capital & Cash Flow Management
- Manage
and coordinate working capital to ensure operational efficiency.
- Monitor
cash flow positions and prepare cash flow forecasts.
- Optimize
the management of payables, receivables, and liquidity.
- Support
management in financial planning and budgeting activities.
Receivables
& Invoicing
- Oversee
the preparation and timely delivery of invoices to clients.
- Monitor
customer accounts and ensure timely collection of outstanding payments.
- Follow
up on debtors and manage receivables effectively to reduce overdue
accounts.
- Reconcile
customer accounts and resolve billing discrepancies.
Asset
Management
- Maintain
proper records of company assets and asset registers.
- Monitor
asset acquisition, utilization, depreciation, and disposal processes.
- Conduct
periodic asset verification and reconciliation exercises.
- Ensure
adequate safeguarding and accountability of company assets.
Requirements
- BSc/HND in accounting, Finance, Economics, or
related field.
- Professional certification such as ACA, ACCA
- Minimum of 5–7 years relevant experience in
finance and accounting roles.
- Strong knowledge of financial reporting,
taxation, audit, and internal controls.
- Proficiency in accounting software and
Microsoft Office applications.
- Strong analytical, leadership, and
problem-solving skills.
- Excellent communication and interpersonal
skills.
Skills Required
- BSc/HND in Accounting, Finance, Economics, or related field
- Professional certification such as ACA or ACCA
- Minimum of 5-7 years relevant experience in finance and accounting roles
- Strong knowledge of financial reporting, taxation, audit, and internal controls
- Proficiency in accounting software and Microsoft Office applications
- Strong analytical, leadership, and problem-solving skills
- Excellent communication and interpersonal skills
What We Do
Alan&Grant is a People Development Company creating innovative HR & Organisational Development Solutions for result-driven organizations, focusing on improving performance and aligning the workforce.






