Site Auditor at Filmhouse Cinemas Limited


Filmhouse Cinemas Limited is a dynamic film exhibition company. Our expertise are in the areas of: Cinema operations, management of sites, Ownership of sites, Consultancy for cinema development, Design Fit-out; Cinema project management, Film Distribution: Rights Acquisition, Booking into cinemas, and content development.

We are recruiting to fill the position below:

 

Job Title: Site Auditor

Location: Victoria Island, Lagos
Employment Type: Full-time

Responsibilities
Essential Duties and Key Responsibilities include the following and other duties as may be assigned:

  • Detect signs of fraud, irregularities, or unauthorized activities within the site and escalate accordingly.
  • Reconciliation of all POS merchant copies by bank and report accordingly. Follow up with Support Office (SO) on resolution of charge back with the banks and report eventual settlement.
  • Verification and sighting of all inventory items that are supplied to the site and signing appropriate document.
  • Real time monitoring of sales and general operational activities.
  • Drive revenue & cost efficiency; and ensure processes & procedures are followed in the day-to-day operations, escalating all exceptions to Internal Audit appropriately.
  • Conduct independent verification, audit and reconciliation of Daily Sales with all relevant reports (Cash, POS, Bank transfers and other Online Payments), add notes on observed variances in the daily CASH & POS report to Finance.
  • Responsible for validating the cash evacuation process. This includes verification with the BM before the drop off and reconciling the accuracy of the figures. This also includes examining and verifying with the cash book and receipt book and reporting to Finance on banking days, and escalating exceptions to Internal Audit promptly.
  • Verify, and document all cube bookings, all forms of rentals/hires and escalate all unethical and fraudulent practices suspected or observed at the Cinema to Internal Audit Department.
  • Conduct daily stock counts and independent weekly stock counts and reconciliations.
  • Conduct daily spontaneous cash drops for team members and complete cash till reconciliation.
  • Daily reconciliation of vouchers in safe, emergency tickets and all redemptions, confirming validity and accuracy of transaction.
  • Responsible for site POS activity in conjunction with the Support Office Revenue Assurance Team, by ensuring they are in good working conditions, with the right POS bank mix. And ensuring availability of printing papers always.
  • Ensure the financial information and assets of the company are well protected, preserved with confidentiality and available to the right people in the right format and time.
  • Complete cash count report/certificate to be sent monthly to Finance.
  • Management and authorization of petty cash expenses, and preparation of Petty Cash Report to be sent to Internal Audit for approval.
  • Daily count of all cash items in both safes with the BM/CM, vouching it against the Cash Count Certificate, Close Out Sheet and Daily Sales Report from Sales Ticketing System and signing off the Safe Reconciliation Sheet and Bank Logs, reporting all exceptions noted promptly to Internal Audit.

Other Duties:

  • Support the finance department with monthly financial reconciliation process
  • Support filling of statutory remittances and Internal Audit processes in conjunction with SO.
  • Relate with Audit/Finance on Fixed Asset replacement/movement by reporting asset movements.
  • Collaborating with security agencies to facilitate arrest of fraudsters, upon instruction from the support office.

Qualifications

  • Minimum of HND/B.Sc. with at least 3 years’ relevant experience.
  • Knowledge of accounting theories, principles, methods, practices, and terminology in a multidisciplinary and multi-functional environment.

Key Skills & Competencies

  • Job knowledge – In-depth knowledge about financial accounting principles and processes.
  • Planning and Organizational Skills – Ability to marshal resources (people, funding, material, support) to get things done; multi-task and use resources effectively and efficiently.
  • Time management & organisation- Ability to meet deadlines and prioritise
  • Daily reconciliation of vouchers in safe, emergency tickets and all redemptions, confirming validity and accuracy of transaction.
  • Responsible for site POS activity in conjunction with the Support Office Revenue Assurance Team, by ensuring they are in good working conditions, with the right POS bank mix. And ensuring availability of printing papers always.
  • Ensure the financial information and assets of the company are well protected, preserved with confidentiality and available to the right people in the right format and time.
  • Communication Skills – Excellent written and oral communication skills. Will need to be able to communicate complex information in a clear and understandable way.
  • Analytical skills - demonstrates the ability to picture, articulate, and solve multiple problems and concepts and make decisions that are reasonable and based on available information.
  • Excellent report writing and presentation skills
  • Daily count of all cash items in both safes with the BM/CM, vouching it against the Cash Count Certificate, Close Out Sheet and Daily Sales Report from Sales Ticketing System and signing off the Safe Reconciliation Sheet and Bank Logs, reporting all exceptions noted promptly to Internal Audit.

 

How to Apply
Interested and qualified candidates should:
Click here to apply