UP otherwise known as Unified Payment Services Limited is Nigeria’s premier Payments & Financial Technology company founded in 1997 by a consortium of leading Nigerian banks. UP operates as a shared infrastructure for the banking community in Nigeria and Payments Service Provider within and outside Nigeria, with a vision to be the most preferred e-payment service provider in Africa.
In line with our growth strategy propelled by our various innovative products and ownership of different technologies, we seek to recruit talented individuals who are seeking a long-term career with our organization for a period not less than 3 years, to fill the position below:
Job Title: HOD, Financial Audit
Location: Victoria Island, Lagos
Employment Type: Full-time
Job Objective
- Computation of Scheme (Pay attitude, VISA, MasterCard, UP, and American Express) Income – Acquiring, Switching and Processing Income
- Obtain assurance on accuracy of all transaction based fees and income and income from services rendered.
- Confirm accuracy, adequacy, and completeness and prompt settlement of Merchant(s) in line with terms of engagement.
- Plans financial audits by understanding organization objectives, structure, policies, processes, internal controls, and external regulations; identifying risk areas; determining audit scope and objectives; drafting audit programs.
- Assesses compliance with financial regulations and controls by executing audit program steps; testing general ledger, account balances, balance sheets, income statements, and related financial statements; examining and analyzing records, reports, operating practices, and documentation.
- Assesses risks and internal controls by identifying areas of non-compliance; evaluating manual and automated financial processes; identifying process weaknesses and inefficiencies and operational issues.
- Communicates audit progress and findings by providing information in status meetings; highlighting unresolved issues; reviewing working papers; preparing final audit reports.
- Supports external auditors by providing information required.
- Provides financial control information by collecting, analyzing, and summarizing data and trends.
- Deliver training/knowledge transfer sessions to meet departmental cross training needs
- Ensure charge backs and disputes are resolved in line with existing rules, and appropriate approvals are obtained for all transaction reversals.
Duties and Responsibilities
- To ensure the integrity and accuracy of bank reconciliations
- Independent reconciliations of revenue accounts to determine accurate and correct account General Ledger Positions
- Shall conduct periodic data analysis on Web, ATM, POS and Mobile income streams and reconciliation to the general ledger and the production of audit reports in line with approved audit Plan.
- Detailed periodic review of Agency services, banking, Settlement and collection transactions.
- To conduct detailed investigation as may be required from time to time.
- To Conducts Financial Audit and Other Audit Reviews such as ;
- Stock take exercise / Inventory management review and reporting, Staff allowances and advances review and audit, Fixed asset tagging and verification, Consumable consumption management, prepayments, Accounts Payables, Pay Attitude stock management & Operations review, Spot checks on company’s cash and fixed assets, attendance at User Acceptance testing for projects /products and the management of asset bidding process for item disposal.
- Proffer workable value added solutions for management consideration.
- Effectively discuss audit issues and develop business focused controls recommendations to strengthen control lapses and weaknesses.
- Conduct investigation assignments from time to time.
- Perform Adhoc task / assignments and departmental administrative duties as assigned from time to time.
- Independent Review and computation of company’s income on dispute management systems.
- Independent Review and computation of company’s income on all ongoing and completed projects implementation
- Independent Review and computation of company’s income on Personalization and fulfillment activities for partner banks and merchants
- Independent review of merchant onboarding process and fraud analytics platform in line with Global Accepted Standards on AML / CTF as well as International card schemes.
Job Requirements / Experience
- Education University: First Degree in Accounting / Business Administration.
- Minimum of 10 years and above audit working experience in Financial Auditing.
- Experience: Understanding of the key technical concepts in Financial Audits.
- Certifications: Certification in Accounting (ACCA, ACA) is mandatory
- Others: CISA (Certified Information System Audit) would be an added advantage.
Deadline: 8th November, 2021.
How to Apply
Interested and qualified candidates should:
Click here to apply online
Note: Only candidates with the experience below can apply.
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