Preparing of monthly bank reconciliation statements
Prepare Accounts and tax returns
Administration of payrolls and controlling income and expenditures.
Compile and present reports, budgets, business plans and financial statements.
Providing tax planning services with reference to current rules, regulations and legislations.
Support the development, documentation and implementation of financial policies, proper accounting procedures, resource management and internal control system.
Monitor timely review of the daily cash position to ensure sufficient funds for disbursement.
Financial forecasting and risk analysis.
Monitor all account payables; prepare invoices and updates on all accounts.
Established debt recovery policies and collection.
Liaise with government agencies such as NSITF, ITF, FIRS, PENCOM etc.
Manage daily workloads and deadlines
Provides financial information to Management by researching and analyzing accounting data, preparing reports.
Petty Cash Management
Prepare asset, liability and capital account entries by compiling and analyzing account information.
Documentation of financial transactions.
Any other accounting task as may be assigned.
Requirements
Candidates should possess B.Sc Degrees with 4 - 7 years relevant work experience.
The Candidate must be available to start immediately.