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Finance Operation Manager @ Twinings Ovaltine

NigeriaOnsiteFull-time
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About this role

Great People Work Here How would you like to be part of exciting innovation pipelines, working with international teams all dedicated to the evolution of a proud 300-year-old brand? TwiningsOvo, International Markets (IM), operate across 100 exciting global markets, coming together to create the next generation of exquisite tea & Ovaltine ranges. Our teams operate in highly entrepreneurial commercial environments, suited to those who enjoy business challenges and want to contribute to growth. Here in IM, you’ll develop cross-cultural leadership skills quickly, leading projects across diverse, inclusive, and multi-cultural teams. If you collaborate effectively with others, dedicated to your craft, you’ll be sure to grow personally and professionally, taking advantage of the career opportunities across our global TwiningsOvo network.We’re recruiting The Finance Operations Managerwho will be responsible for financial accounting activities encompassing General ledger management, Intercompany accounting, fixed asset management and statutory reporting in strict adherence to the ABF Financial Control Framework while maintaining the integrity of the general ledger through diligent checks and journal postings. Additionally, the role holder will oversee comprehensive reconciliations. As a key member of the Nigeria Finance team, the FOM will focus on consistently maintaining accurate accounting records and control compliance by supporting the Financial Controller in implementing, monitoring, documenting, testing, and continuously improving TONL’s control framework to generate accurate financial reports. Please note that is 6 months, fixed-term contract. Maintain accurate financial records, payments, journals, GL reconciliations, and month-end activities. Review AP/AR invoices, postings, and ensure timely reconciliation of ledger and business partner accounts. Manage intercompany transactions, invoicing, postings, payments, and balance reconciliations. Monitor ledger health, aging balances, open payments, and credit notes; investigate overdue items. Review debtor aging and assess requirements for bad debt provisions. Handle month-end close, statutory reporting, and Trial Balance preparation. Support financial controls, compliance, and internal/external audit activities. Maintain contract registers and ensure proper document storage and record management. Manage fixed asset accounting, including capitalization, depreciation, disposals, transfers, and reconciliations. Conduct fixed asset tagging, verification, and ensure asset movements are approved and documented.

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