We are seeking a motivated and detail-oriented Graduate Accountant to support our finance and treasury operations.
The ideal candidate will assist in cash management, reconciliations, reporting, and compliance activities while gaining hands-on experience in accounting processes.
Key Responsibilities
Assist with daily cash positioning and preparation of cash flow forecasts.
Support execution of payment runs, bank reconciliations, and vendor disbursements.
Maintain accurate records of loan schedules, intercompany balances, and treasury transactions.
Monitor foreign exchange positions and prepare variance reports against budget.
Support the preparation of financial and compliance reports for internal and external stakeholders.
Assist with internal control testing and documentation for compliance purposes.
Provide support during audits and regulatory submissions.
Requirements
B.Sc. / HND in Accounting, Finance, or a related discipline.
Strong proficiency in Microsoft Excel; familiarity with accounting software is an advantage.
Excellent attention to detail, strong ethics, and a willingness to learn.