Job Description
RESPONSIBILITY
Responsible for the preparation of monthly subsidiary management accounts including the underlying steps of
- Isolating each project for subsidiaries with multiple projects
- Reporting based on suitable international accounting standards
- providing of the commentary for the subsidiary accounts
- Special analysis as may be required from time to time
- Handles treasury reporting which includes cash analysis and forcasting.
- Manage- the process for the computation, recognition and recruitment of all taxes (corporate income tax - current and deferred, withholding tax and VAT) and other statutory obligations and ensures the compliances with the relevant regulations.
- Manage all tax audits with the relevant tax authorities - FIRS- and LIRS.
- Support the country Head of Finance and provide Corporate Support on key fundraising transactions while completely owning financial information.
- Ensure that vendor and staff payments on behalf of the firm are properly processed on a timely basis and captured in the relevant database with established time frame and in accordance with the policy of the firm.
Deliverables
- Balance Sheet Report
- Income Statement Report
- Cash Flow Report
- Monthly Tax update Report
Skills
- Highly knowledgable about International Accounting Standards
- Strong relationships with Tax offices/Officers (Federal/State)
- Good understanding of financial regulations
- Logical Mindset
- Good experience in Tax Management
Experience/Education
- Bachelor's degree in Finance & Accounting, ACCA/CPA.
- 6-10years experience in similar role